11-K
Table of Contents

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, DC 20549

 

 

FORM 11-K

FOR ANNUAL REPORTS OF EMPLOYEE STOCK PURCHASE, SAVINGS AND SIMILAR

PLANS PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

x  ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE

SECURITIES EXCHANGE ACT OF 1934

 For the fiscal year ended December 31, 2012

OR

¨  TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE

SECURITIES EXCHANGE ACT OF 1934

 For the transition period from                      to                     

Commission file number:  1-15062

 

A.

Full title of the plan and the address of the plan, if different from that of the issuer named below:

TIME WARNER SAVINGS PLAN

 

B. Name of issuer of the securities held pursuant to the plan and the address of its principal
executive office:

Time Warner Inc.

One Time Warner Center

New York, New York 10019


Table of Contents

 

FINANCIAL STATEMENTS AND

SUPPLEMENTAL SCHEDULES

Time Warner Savings Plan

Years Ended December 31, 2012 and 2011

With Report of Independent Registered Public

Accounting Firm


Table of Contents

Time Warner Savings Plan

Financial Statements and Supplemental Schedules

Years Ended December 31, 2012 and 2011

Contents

 

Report of Independent Registered Public Accounting Firm

     1   

Financial Statements

  

Statements of Net Assets Available for Benefits

     2   

Statements of Changes in Net Assets Available for Benefits

     3   

Notes to Financial Statements

     4   

Supplemental Schedules

  

Schedule G, Part I – Loans or Fixed Income Obligations in Default or Classified as Uncollectible

     20   

Schedule H, Part IV, Line 4(i) – Schedule of Assets (Held at End of Year)

     21   


Table of Contents

Report of Independent Registered Public Accounting Firm

The Administrative Committee

Time Warner Savings Plan

We have audited the accompanying statements of net assets available for benefits of the Time Warner Savings Plan as of December 31, 2012 and 2011, and the related statements of changes in net assets available for benefits for the years then ended. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. We were not engaged to perform an audit of the Plan’s internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan at December 31, 2012 and 2011, and the changes in its net assets available for benefits for the years then ended, in conformity with U.S. generally accepted accounting principles.

Our audits were conducted for the purpose of forming an opinion on the financial statements taken as a whole. The accompanying supplemental schedules of loans or fixed income obligations in default or classified as uncollectible and assets (held at end of year) as of December 31, 2012 are presented for purposes of additional analysis and are not a required part of the financial statements but are supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. Such information has been subjected to the auditing procedures applied in our audits of the financial statements and, in our opinion, is fairly stated in all material respects in relation to the financial statements taken as a whole.

 

New York, New York

/s/ Ernst & Young LLP

June 21, 2013

 

 

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Table of Contents

Time Warner Savings Plan

Statements of Net Assets Available for Benefits

 

     December 31,  
     2012      2011  
     (In Thousands)  

Investments at fair value:

     

Commingled trust funds

      $     940,499           $     825,967    

Time Warner common stock

     335,204          287,944    

Other common stocks

     712,896          619,162    

Preferred stocks

     40          250    

Synthetic investment contracts

     625,699          611,580    

Mutual funds

     960,534          768,324    

U.S. government and agency securities

     259,990          198,401    

Other fixed income securities

     145,772          139,241    

Cash, cash equivalents and other investments

     153,007          75,565    
  

 

 

 

Total investments at fair value

     4,133,641          3,526,434    

Contributions receivable:

     

Employer

     9,009          6,062    

Participants

     2,591          854    

Notes receivable from participants

     64,301          58,821    

Receivables for securities sold

     67,635          1,963    

Other assets

     6,061          4,817    
  

 

 

 

Total assets

     4,283,238          3,598,951    

Payables for securities purchased

     165,702          15,558    

Other liabilities

     7,702          4,372    
  

 

 

 

Total liabilities

     173,404          19,930    
  

 

 

 

Net assets reflecting investments at fair value

     4,109,834          3,579,021    

Adjustment from fair value to contract value for fully benefit-responsive investment contracts

     (23,018)         (22,959)   
  

 

 

 

Net assets available for benefits

      $  4,086,816           $  3,556,062    
  

 

 

 

See accompanying notes.

 

 

2


Table of Contents

Time Warner Savings Plan

Statements of Changes in Net Assets Available for Benefits

 

     Year Ended December 31,  
     2012      2011  
     (In Thousands)  

Net assets available for benefits at beginning of year

      $  3,556,062           $  3,560,140    

Changes in net assets:

     

Investment income, net of fees

     51,005          46,962    

Net realized and unrealized appreciation (depreciation) in the fair value of investments

     443,515          (94,524)   
  

 

 

 

Net investment income (loss)

     494,520          (47,562)   

Employing company contributions

     151,672          144,929    

Participant contributions, including rollover contributions

     193,088          185,562    

Participant loan interest income

     2,828          2,783    

Participant withdrawals

     (308,265)         (285,775)   

Administrative expenses

     (3,089)         (4,015)   
  

 

 

 

Net change

     530,754          (4,078)   
  

 

 

 

Net assets available for benefits at end of year

      $  4,086,816           $  3,556,062    
  

 

 

 

See accompanying notes.

 

 

3


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements

December 31, 2012

1. Description of the Plan

The following is an abbreviated description of the Time Warner Savings Plan (the “Plan”). Time Warner Inc. (“Time Warner”) is the Plan sponsor. More complete descriptions of the Plan are provided in the Plan documents, as amended, and the summary plan description/prospectus. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”).

General

The Plan is a defined contribution profit sharing plan with a 401(k) feature generally covering eligible employees of Time Warner and certain of its subsidiaries and affiliates (each, an “Employing Company” and, collectively, the “Employing Companies”).

The Plan is the only participating plan in the Time Warner Defined Contribution Plans Master Trust (the “Master Trust”).

The Plan administrator is a committee (the “Administrative Committee”) appointed by Time Warner’s board of directors. Certain administrative functions of the Plan have been delegated to others in accordance with the terms of the Plan.

Effective January 1, 2011, the Plan is a “Qualified Automatic Contribution Arrangement” in accordance with the Internal Revenue Code of 1986, as amended (the “Code”), and thus is exempt from nondiscrimination testing.

Investment Funds, Contributions and Vesting

The Plan provides for multiple investment funds made available through Fidelity Management Trust Company (“Fidelity”) pursuant to the Master Trust. Prior to November 4, 2011, the Plan’s investment funds consisted of four asset allocation (target risk) funds and thirteen core investment funds (nine of which are actively managed and four of which are index funds). Effective November 4, 2011, an additional actively managed core investment fund was added. The Plan also offers a self-directed brokerage option that is limited to mutual funds. Participant contributions, Matching Contributions (as defined below) and Rollovers (as defined below) may generally be invested in specified increments in the investment funds. Participants may periodically transfer account balances among the investment funds offered under the Plan.

Effective July 1, 2010, contributions or investment fund transfers into the Time Warner Inc. Stock Fund are prohibited, but Plan participants who hold Time Warner common stock in the

 

 

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Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

Time Warner Inc. Stock Fund have the option to reinvest cash dividends paid by Time Warner on its common stock in Time Warner common stock through the Time Warner Inc. Stock Fund in lieu of receiving the cash dividends. Effective July 1, 2010, the Time Warner Inc. Stock Fund was designated as an employee stock ownership plan component of the Plan.

Generally, the Plan provides for voluntary participant contributions on a pre-tax basis at an elected percentage of a participant’s eligible compensation, up to an annual limit established by the Internal Revenue Service (“IRS”). Effective January 1, 2011, the elective deferral limit for highly compensated employees increased from 10%, or 20% for Turner Broadcasting System, Inc. employees, to 50% for pre-tax contributions, subject to the limit established by the IRS. After two months of continuous employment (or, with respect to employees classified as hourly or temporary employees, after 1,000 hours of credited service in any one year), matching contributions by Employing Companies (“Matching Contributions”) are made as a percentage of a participant’s contributions to the Plan and are capped at certain percentages of the participant’s eligible compensation deferred.

Employees hired on or after January 1, 2007 were automatically enrolled in the Plan at a pre-tax contribution rate of 2% approximately 90 days following the hire date, unless employees elected otherwise during the first 60 days of employment. Effective July 1, 2010, all eligible Plan participants with a pre-tax contribution rate of less than 3%, newly eligible Plan participants, and employees classified as hourly or temporary employees who are credited with at least 1,000 hours of service in any one year are automatically enrolled in the Plan at a pre-tax contribution rate of 3% unless they change their contribution rate or opt out of the Plan. Unless participants who were automatically enrolled in the Plan elected or elect otherwise, their contribution rate automatically increased by 1% beginning on either January 1, 2012 or the first anniversary of their automatic enrollment date (depending on the date they were automatically enrolled) and will continue to increase by 1% annually until the 6% maximum for automatic contributions is reached. These participant contributions and Matching Contributions are invested in a target risk fund unless participants elect other investment option(s). Participants who are automatically enrolled in the Plan may change their contribution rate or opt out of the Plan at any time.

Prior to July 1, 2010, Matching Contribution rates varied among Employing Companies and were calculated based on one of the following formulas: 66.67% on up to the first 6% of the participant’s eligible compensation contributed to the Plan; or 160% on up to the first 4% of the participant’s eligible compensation contributed to the Plan. Effective July 1, 2010, Matching Contribution rates for eligible Plan participants became consistent across all participating Employing Companies at a rate of 133 13% on up to the first 3% of eligible compensation deferred and 100% on up to the next 3% of eligible compensation deferred.

 

 

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Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

Participants are allowed to transfer amounts from certain other tax qualified plans to the Plan (“Rollovers”). Rollovers are included as participant contributions in the Statements of Changes in Net Assets Available for Benefits.

Matching Contributions and any other amounts contributed by an Employing Company, including those transferred into the Plan, are deemed Employing Company contributions (“Employing Company Contributions”). Each participant’s account is credited with the participant’s contributions, Rollovers, Employing Company Contributions and any earnings or losses thereon, as appropriate. Participant contributions, Rollovers and earnings thereon are fully vested.

Matching Contributions and earnings thereon generally vest based on years or periods of service as follows:

Matching Contributions Made and Earnings Thereon: (1)

 

Prior to March 1, 2007

  

March 1, 2007 through

June 30, 2010

    

On or After July 1, 2010

 

Years or Periods

of Service

   Vested
Percentage
  

Years or Periods

of Service

   Vested
Percentage
    

Years or Periods

of Service

   Vested
Percentage
 

Less than 2 years

       0%    Less than 1 year      0%       Less than 2 years      0%   

2 but less than 3 years

     25       1 but less than 2 years      20          2 years or more      100      

3 but less than 4 years

     50       2 but less than 3 years      40            

4 but less than 5 years

     75       3 but less than 4 years      60            

5 years or more

   100       4 but less than 5 years      80            
      5 years or more      100            

 

(1) Any completed service prior to the dates set forth in this table generally counts toward vesting.

 

 

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Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

Matching Contributions and earnings thereon also become fully vested upon a participant’s termination of service due to death or disability, attainment of age 65, or upon the termination of the Plan.

The Plan provisions described above that became effective July 1, 2010 (relating to (i) the automatic enrollment of certain eligible Plan participants, (ii) the Matching Contributions rate and (iii) the vesting of Matching Contributions (and earnings thereon) made on or after July 1, 2010) do not apply to certain employees subject to a collective bargaining agreement at one of Time Warner’s subsidiaries.

Forfeited Accounts

Forfeited Employing Company Contributions and earnings thereon may be used to reduce future Employing Company Contributions to the Plan and/or to pay Plan expenses. Forfeited Employing Company Contributions and earnings thereon for 2012 and 2011 were $3.2 million and $3.3 million, respectively. The amount of forfeited nonvested accounts as of December 31, 2012 and 2011 was $4.8 million and $4.2 million, respectively, and is included in the Statements of Net Assets Available for Benefits.

Notes Receivable From Participants

Under the Plan, subject to certain restrictions and penalties, participants may withdraw amounts and/or take loans from their accounts. The maximum number of loans a participant may have outstanding is limited to three at any one time, in the form of either one primary residence loan and two general loans or three general loans; provided, however, that if the primary residence loan was obtained before 2008, it does not limit the availability of the three general loans. The minimum loan amount is $1,000 and the maximum loan amount is $50,000. Loans are valued at their outstanding balances, which approximate fair value, and are treated as transfers between the individual investment funds and the participant loan fund. Loan terms may be for up to five years or 15 years if for the purchase of a primary residence. Participants who have transferred accounts to the Plan with existing loans for the purchase of a primary residence may have loan terms of up to 30 years based on the provisions of the plan from which the original loan was obtained. Effective April 1, 2007, interest rates charged for loans originated under the Plan within any quarter are set at the prime rate in effect on the first day of such quarter plus 1%. Prior to April 1, 2007, interest rates for such loans were set at the prime rate in effect at the time of the loan plus 1%. Participants who have transferred accounts to the Plan with existing loans may be subject to different interest rates on those loans, as set in accordance with the provisions of the plan from which the original loan was obtained. Interest rates on outstanding participant loans as of December 31, 2012 and 2011 ranged from 4.25% to 10.50%.

 

 

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Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

Payment of Benefits

In-service withdrawals are available in certain limited circumstances, as provided under the Plan. Hardship withdrawals are allowed for participants incurring an “immediate and heavy financial need,” as defined by the Plan. Hardship withdrawals are strictly regulated under the Code and the regulations thereunder, and a participant must exhaust all available loan options and available distributions prior to requesting a hardship withdrawal.

Generally, on termination of service, participants are eligible to receive the vested portion of their account in a lump sum. However, subject to certain restrictions, the Plan permits other payment options. In addition, at the option of the participant, the commencement of payments may be deferred, subject to certain limitations. Benefits distributed from all investment funds in the Plan will be paid in cash, except for benefits distributed from the Time Warner Inc. Stock Fund, which also offers shares of Time Warner common stock as a distribution election. Fractional shares are paid in cash.

Plan Termination

Although it has not expressed any intent to do so, Time Warner reserves the right to discontinue Employing Company Contributions or to terminate or modify the Plan at any time. In the event of termination of the Plan, participants will become fully vested in their accounts and the net assets of the Plan will be distributed to participants in accordance with the Plan’s provisions and applicable law.

 

 

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Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

2. Basis of Presentation and Summary of Significant Accounting Policies

Basis of Presentation

The accompanying financial statements have been prepared on the accrual basis of accounting.

Costs and expenses incurred for the purchase, sale or transfer of investments reflected in the accompanying financial statements are considered a cost of the investment or a reduction in the proceeds of a sale, as appropriate. Investment management fees and certain administrative costs are paid by the Plan’s investment funds and included in Investment income, net of fees in the Statements of Changes in Net Assets Available for Benefits.

Payment of Benefits

Participant withdrawals are recorded when paid.

Administrative Expenses

Certain administrative costs are charged to the Plan as permitted under ERISA, including, for example, fees for auditing, investment advice, recordkeeping, custodial and trustee services. Other administrative costs, for example, compensation of employees responsible for the administration of the Plan, are paid by Time Warner.

Use of Estimates

The preparation of financial statements in conformity with U.S. generally accepted accounting principles requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results could differ from those estimates.

 

 

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Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

Investment Valuation and Income Recognition

Investments held by the Plan are stated at fair value. Fair value is defined as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (an exit price). See Note 4 for further discussion and disclosures related to fair value measurements.

Investments in the Statements of Net Assets Available for Benefits include fully benefit-responsive investment contracts recognized at fair value with a corresponding adjustment to reflect these investments at contract value.

Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded as earned. Dividends are recorded on the ex-dividend date. Net appreciation or depreciation in the fair value of investments includes the Plan’s gains and losses on investments bought and sold as well as held during the year.

Recent Accounting Standard

On January 1, 2012, the Plan adopted, on a prospective basis, guidance issued by the Financial Accounting Standards Board related to fair value measurements and disclosures that (i) states that the concepts of highest and best use and valuation premise are only relevant when measuring the fair value of nonfinancial assets and, therefore, do not apply to financial assets or any liabilities, (ii) prohibits the application of a blockage factor (i.e., premiums and discounts related to size as a characteristic of the entity’s holding) for all fair value measurements, regardless of hierarchy level, (iii) allows an entity that manages market risks and counterparty credit risk exposure of a group of financial instruments to measure those financial instruments on the basis of the net position for the risk being managed, (iv) requires that an entity measure the fair value of its own equity instruments from the perspective of a market participant that holds the instruments as assets and (v) requires new and enhanced disclosures. The adoption of this guidance did not have a material effect on the Plan’s financial statements.

3. Investments

Plan investments are made in a variety of investment securities that are exposed to various risks such as interest rate, market and credit risks. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of these investments, it is possible that changes in values could materially affect participants’ account balances and the amounts reported in the Statements of Net Assets Available for Benefits.

 

 

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Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

During the years ended December 31, 2012 and 2011, the Plan’s investments appreciated (depreciated) in fair value as follows:

 

     Year Ended December 31,  
     2012      2011  
     (In Thousands)  

Net realized and unrealized appreciation (depreciation) in fair value of investments:

     

Commingled trust funds

      $    121,285           $    (28,782)   

Time Warner common stock

     86,283          34,170    

Other common stocks

     84,985          (55,507)   

Preferred stocks

             80    

Mutual funds

     129,943          (56,207)   

U.S. government and agency securities

     11,305          14,071    

Other fixed income securities

     10,150          (2,008)   

Cash, cash equivalents and other investments

     (437)         (341)   
  

 

 

    

 

 

 

Total net realized and unrealized appreciation (depreciation) in the fair value of investments

      $    443,515           $    (94,524)   
  

 

 

    

 

 

 

 

 

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Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

The following table presents investments that each represented 5% or more of the Plan’s net assets available for benefits:

 

     December 31,  
     2012      2011  
     (In Thousands)  

Commingled Trust Funds:

     

BlackRock Equity Index–Fund H, 6,441,896 and 6,800,067 units, respectively

      $    325,896          $    296,619   

BlackRock MSCI ACWI ex-U.S. Index–Fund C, 20,148,351 units

     *         180,126   

BlackRock US Debt Index–Fund T, 11,432,922 units

     208,765         *   

Common Stock:

     

Time Warner, 7,008,237 and 7,967,449 shares, respectively

     335,204         287,944   

Mutual Fund:

     

Dodge & Cox Stock Fund, 4,084,395 and 3,887,173 shares, respectively

     497,888         390,166   

 

 

* Less than 5%

The Capital Preservation Fund, an investment fund available in the Plan, includes fully benefit-responsive synthetic investment contracts that are valued at fair value and adjusted to contract value in the Statements of Net Assets Available for Benefits. In a synthetic investment contract, debt securities (such as fixed-income, asset-backed and mortgage-backed securities) are purchased and then a financial institution agrees to provide for liquidity and an adjustable rate of return thereon (a “Wrapper”), which, when taken together with the underlying securities, generally results in a guaranteed return of principal and accrued interest. See Note 4 for further discussion and disclosures related to fair value measurements.

The Capital Preservation Fund and the Wrapper contracts purchased by that fund are designed to pay all participant-initiated transactions at contract value. However, the Wrapper contracts limit the ability of the fund to transact at contract value upon the occurrence of certain events. These events include, but are not limited to:

 

   

Complete or partial termination of the Plan;

 

 

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Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

   

Any change in law, regulation or administrative ruling applicable to the Plan that could have a material adverse effect on the fund’s cash flow;

 

   

Merger or consolidation of the Plan with another plan, the transfer of Plan assets to another plan, or the sale, spin-off or merger of a subsidiary or division of the Plan sponsor; and

 

   

Any early retirement program, group termination, group layoff, facility closing or similar program.

At this time, the occurrence of an event that would limit the ability of the Capital Preservation Fund to transact at contract value is not probable. The completion of the Time Separation (as described in Note 7) is not expected to limit the ability of the Capital Preservation Fund to transact at contract value.

A Wrapper issuer may terminate a Wrapper contract at any time by providing the appropriate notification. In the event that the market value of the Capital Preservation Fund’s covered assets is below their contract value at the time of such termination, Fidelity, as the Capital Preservation Fund’s investment manager, may elect to keep the Wrapper contract in place through another Wrapper provider until such time as the market value of the Capital Preservation Fund’s covered assets is equal to their contract value. Plan participants will continue to receive the Capital Preservation Fund’s Crediting Rate (as defined below).

Interest income in the Capital Preservation Fund is accrued at the weighted-average return of individual fund investments, net of investment management and certain administrative fees (the “Crediting Rate”). The Crediting Rate is calculated daily. Wrapper contracts use the Crediting Rate formula to convert market value changes in the underlying assets into income distributions in order to minimize the difference between the market and contract value of the underlying assets over time. Using the Crediting Rate formula, an estimated future market value is calculated by compounding a portfolio’s current market value at such portfolio’s current yield to maturity for a period equal to such portfolio duration. The Crediting Rate is the discount rate that equates that estimated future market value with such portfolio’s current contract value. Crediting Rates are reset monthly. The Wrapper contracts are designed so that the Crediting Rate will not fall below 0%. The Capital Preservation Fund’s Crediting Rate as of December 31, 2012 and 2011 was 1.9% and 2.3%, respectively. The average annualized yield of the Capital Preservation Fund for the years ended December 31, 2012 and 2011 was 2.2% and 2.4%, respectively.

Certain investment managers of investment funds offered under the Plan are authorized to use derivative financial instruments, either directly or within a commingled fund structure, in accordance with established guidelines of the investment funds. Derivative financial instruments may be used for the purpose of managing interest rate and foreign exchange risk, and for yield

 

 

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Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

enhancement. Changes in the fair value of derivative financial instruments are recorded in the Statements of Changes in Net Assets Available for Benefits; therefore, no gains or losses are deferred. At December 31, 2012 and December 31, 2011, the fair value of derivative financial instruments held by the Plan was not material. The derivative financial instruments held by the Plan at December 31, 2012 consisted of foreign currency forward contracts, interest rate and credit default swap contracts, futures on swap contracts and interest rate option contracts and at December 31, 2011 consisted of foreign currency forward contracts. Significant derivative positions at December 31, 2012 included written interest rate option contracts and interest rate swap contracts with notional amounts of $143.7 million and $87.2 million, respectively.

4. Fair Value Measurements

A fair value measurement is determined based on the assumptions that a market participant would use in pricing an asset or liability. A three-tiered hierarchy draws distinctions between market participant assumptions based on (i) observable inputs such as quoted prices in active markets (Level 1), (ii) inputs other than quoted prices in active markets that are observable either directly or indirectly (Level 2) and (iii) unobservable inputs that require the Plan to use present value and other valuation techniques in the determination of fair value (Level 3).

 

 

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Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

The following table presents information about the Plan’s assets and liabilities required to be carried at fair value on a recurring basis as of December 31, 2012 and December 31, 2011 (in thousands):

 

                                                                                                                                                                                       
     December 31, 2012     December 31, 2011  
Asset Category    Level 1      Level 2     Level 3      Total     Level 1      Level 2      Level 3      Total  

Assets

                     

Commingled trust funds (a)

   $       $ 940,499      $       $ 940,499      $       $ 825,967       $       $ 825,967   

Equity securities:

                     

Time Warner common stock

     335,204                        335,204        287,944                         287,944   

Other common stocks:

                     

Domestic equities

     677,811                        677,811        571,322                         571,322   

International equities

     35,085                        35,085        47,840                         47,840   

Preferred stocks

     40                        40        250                         250   

Synthetic investment contracts:

                     

U.S. government and agency securities

     270,132         104,556                374,688        296,940         102,427                 399,367   

Mortgage related obligations

             97,935                97,935                58,815                 58,815   

Investment grade corporate bonds(b)

             148,642                148,642                146,523                 146,523   

Cash, cash equivalents and other investments

     3,624         810                4,434        5,834         1,041                 6,875   

Mutual funds(c)

     960,534                        960,534        768,324                         768,324   

Fixed income securities:

                     

U.S. government and agency securities

     107,297         198,797                306,094        124,161         72,562         1,678         198,401   

Mortgage related obligations

             34,287        272         34,559                34,638                 34,638   

Investment grade corporate bonds(b)

             90,488                90,488                81,762         2,548         84,310   

Non-investment grade corporate bonds(b)

             20,725                20,725                20,290         3         20,293   

Cash, cash equivalents and other investments:

                     

Cash and cash equivalents

     13,695         34,589                48,284        27,027         48,138                 75,165   

Derivatives

             2,610                2,610                                  

Other investments(d)

             102,697                102,697                400                 400   
  

 

 

 

Total Assets

   $ 2,403,422       $ 1,776,635      $ 272       $ 4,180,329      $ 2,129,642       $ 1,392,563       $ 4,229       $ 3,526,434   

Liabilities

                     

Derivatives

             (584             (584                               

U.S. government and agency securities

             (46,104             (46,104                               
  

 

 

 

Total

   $ 2,403,422       $ 1,729,947      $ 272       $ 4,133,641      $ 2,129,642       $ 1,392,563       $ 4,229       $ 3,526,434   
  

 

 

 

 

(a) 

At December 31, 2012, the underlying securities held in commingled trust funds consisted of approximately 22% and 78% of marketable fixed income and equity securities, respectively. At December 31, 2011, the underlying securities held in commingled trust funds consisted of approximately 20% and 80% of marketable fixed income and equity securities, respectively.

(b) 

At December 31, 2012 and December 31, 2011, the investment grade corporate bonds had credit ratings equal to or higher than the following, as applicable: S&P rating of BBB-, Fitch rating of BBB- or Moody’s rating of Baa3, and the non-investment grade corporate bonds had credit ratings below the foregoing ratings, as applicable.

(c) 

At December 31, 2012, mutual funds consisted of (in thousands) $497,888 in the Dodge & Cox Stock Fund, $220,478 in Fidelity BrokerageLink (of which $27,715 is in cash and cash equivalents), $159,256 in the Manning & Napier Overseas Fund and $82,912 in the DFA Emerging Markets Core Equity Portfolio Institutional Class Fund. At December 31, 2011, mutual funds consisted of (in thousands) $390,166 in the Dodge & Cox Stock Fund, $197,346 in Fidelity BrokerageLink (of which $32,064 is in cash and cash equivalents), $131,286 in the Manning & Napier Overseas Fund and $49,526 in the DFA Emerging Markets Core Equity Portfolio Institutional Class Fund.

(d) 

At December 31, 2012, other investments consisted of (in thousands) $88,100 of repurchase agreements, $12,915 of certificates of deposit and $1,682 of commercial paper. At December 31, 2011, other investments consisted of (in thousands) $400 of repurchase agreements.

 

 

15


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

The following table reconciles the beginning and ending balances of the Plan’s assets classified as Level 3 for the years ended December 31, 2012 and December 31, 2011 (in thousands):

 

     December 31, 2012             December 31, 2011  
     Investment
Grade
Corporate
Bonds
   

Non-

investment
Grade
Corporate
Bonds

    US
Government
and Agency
Securities
    Mortgage
Related
Obligations
     Total     Investment
Grade
Corporate
Bonds
   

Non-

investment
Grade
Corporate
Bonds

     US
Government
and Agency
Securities
    Total  

Balance at beginning of period

   $ 2,548      $ 3      $ 1,678      $       $ 4,229      $ 2,053      $       $ 3,731      $ 5,784   

Actual return on plan assets:

                    

Relating to assets still held at end of period

     134                              134        (307     3         (23     (327

Relating to assets sold during the period

     (134                           (134     34                       34   

Purchases

                          272         272        1,227                389        1,616   

Sales

                                         (459             (39     (498

Issuances

                                                                 

Settlements

                                                                 

Transfers into Level 3

                                                            

Transfers out of Level 3

     (2,548     (3     (1,678             (4,229                    (2,380     (2,380
  

 

 

 

Balance at end of period

   $      $      $      $ 272       $ 272      $ 2,548      $ 3       $ 1,678      $ 4,229   
  

 

 

 

The following is a description of the valuation methodologies used for assets measured at fair value. Investments are recorded by the Plan on a trade date basis at fair value.

Commingled trust funds: Valued at the net asset value per unit at year end as reported to Fidelity by each fund company managing such trusts. Investments in the underlying commingled trust funds can generally be redeemed daily at net asset value.

Equity securities: Valued at the closing price at year end as reported on the active market on which the individual securities are traded.

Synthetic investment contracts: The fair value of the benefit-responsive synthetic investment contracts at year end is calculated by discounting the related cash flows based on current yields of similar instruments with comparable durations. Contract value represents contributions made under the contract, plus interest at the contract rate, less withdrawals under the contract. As of December 31, 2012 and 2011, there were no reserves against contract values for the credit risk of contract issuers or otherwise.

 

 

16


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

Mutual funds: Valued at the net asset value of shares held by the Plan at year end.

Fixed income securities: Valued at the closing price at year end as reported on the active market on which the individual securities are traded. Securities not traded on an active market are valued based on yields currently available on comparable securities of issuers with similar credit ratings. When quoted prices are not available for identical or similar securities, the securities are valued using a discounted cash flows approach that maximizes observable inputs, such as current yields of similar instruments, but includes adjustments for certain risks that may not be observable, such as credit and liquidity risks. Due to the subjectivity involved in this assessment, these investments may be classified in Level 3 of the fair value hierarchy.

Cash equivalents and other investments: Cash equivalents consist of investments in short term investment funds and a money market fund valued at net asset value per unit equal to one dollar at year end. Other investments can consist of certificates of deposit, commercial paper, repurchase agreements and futures, option and swap contracts. Certificates of deposit and repurchase agreements are valued at amortized cost, which approximates fair value. Commercial paper is valued using broker quotes that utilize observable market inputs. Futures and option contracts are generally valued at closing settlement prices. Swap contracts are marked-to-market as the net amount due to and from the Plan in accordance with the terms of the contract based on the closing level of the relevant market rate of interest.

5. Transactions with Parties-in-Interest

Under the terms of the Plan and the Master Trust, Time Warner may elect to contribute shares of Time Warner common stock and/or cash for Employing Company Contributions to the Plan. There were no shares of Time Warner common stock contributed in 2012 or 2011 as Employing Company Contributions to the Plan. The Plan may also purchase or sell shares of Time Warner common stock directly from or to Time Warner, respectively. There were no purchases or sales of Time Warner common stock by the Plan directly from or to Time Warner in 2012 or 2011.

 

 

17


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

Certain Plan investments are managed by Fidelity. State Street Bank acts as sub-custodian for certain Plan investments. Therefore, Fidelity’s management of such Plan investments and State Street Bank’s holding of such investments as sub-custodian qualify as party-in-interest transactions; however, these transactions are exempt from the prohibited transaction rules under ERISA.

6. Tax Status of Plan

The Plan has received a determination letter from the IRS, dated May 13, 2010, stating that the Plan is qualified under Section 401(a) of the Code and, therefore, the related trust is exempt from taxation. Subsequent to this determination by the IRS, the Plan was amended. The Plan filed for a new determination letter from the IRS on January 31, 2013. Once qualified, the Plan is required to operate in conformity with the Code to maintain its qualified status. The Administrative Committee believes the Plan is being operated in compliance with the applicable requirements of the Code and therefore believes the Plan, as amended, is qualified and the related trust is tax exempt. The Plan is subject to audits, from time to time, by various authorities. The Administrative Committee believes that the Plan’s information statement on Form 5500 is subject to examination for years after 2008; however, there are currently no audits for any periods in progress.

7. Subsequent Event

On March 6, 2013, Time Warner announced that its board of directors has authorized management to proceed with plans for the complete legal and structural separation of Time Warner’s Publishing segment (as described in Time Warner’s annual report on Form 10-K for the year ended December 31, 2012) from Time Warner (the “Time Separation”). The Time Separation is currently expected to be effected as a spin-off of Time Inc., a wholly owned subsidiary and an Employing Company. In the Time Separation, Time Warner will distribute all of the Time Inc. common stock to Time Warner stockholders, and Time Inc. will become an independent publicly-traded company. The Time Separation is contingent on the satisfaction of a number of conditions. Time Warner expects to complete the Time Separation by the end of 2013. Time Inc. and the other entities in the Publishing segment that are Employing Companies (the “Publishing Segment Employing Companies”) will cease to be such effective upon the completion of the Time Separation. However, at this time, it is not known how the Plan participants employed by the Publishing Segment Employing Companies will be affected and what the impact to the Plan will be.

 

 

18


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

 

8. Reconciliation to Form 5500

The net assets of the Plan that are attributed to fully benefit-responsive investment contracts will be recorded at fair value on the 2012 IRS Form 5500 and related schedules. The following is a reconciliation of the Plan’s net assets available for benefits and changes in net assets available for benefits between the financial statements and Form 5500:

 

     December 31,  
     2012      2011  
  

 

 

 
     (In Thousands)  

Net assets available for benefits per the financial statements

   $ 4,086,816       $ 3,556,062   

Adjustment from contract value to fair value for fully benefit-responsive investment contracts

     23,018         22,959   
  

 

 

 

Net assets per the Form 5500

   $ 4,109,834       $ 3,579,021   
  

 

 

 

 

     Year Ended
December 31,
2012
 
  

 

 

 
     (In Thousands)  

Net investment income from the Plan per the financial statements

   $ 494,520    

Reversal of prior year adjustment from contract value to fair value for fully benefit-responsive investment contracts

     (22,959)   

Adjustment from contract value to fair value for fully benefit-responsive investment contracts

     23,018    
  

 

 

 

Net investment income from the Plan per the Form 5500

   $ 494,579    
  

 

 

 

 

 

19


Table of Contents

 

Supplemental Schedules

 

 


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule G, Part I – Loans or Fixed Income Obligations in Default or Classified as Uncollectible

December 31, 2012

 

                     Amount Received During
Reporting Year
            Amount Overdue  
(a)    (b)    (c)   (d)      (e)      (f)      (g)      (h)      (i)  

Party-In-

Interest

   Identity and Address
of Obligor
   Detailed Description of Loan Including Dates of
Making and Maturity, Interest Rate, the Type
and Value of Collateral, any Renegotiation of
The Loan and the Terms of the Renegotiation
and Other Material Items
  Original
Amount of
Loan
     Principal      Interest      Unpaid
Balance at
End of Year
     Principal      Interest  
   Glitnir Bank    GLITNIR 3ML+273.25 6/16 144A   $ 411,000       $  –       $  –       $ 13,050       $       $ 13,050   
   Glitnir Bank    GLITNIR BK MTN 6.33% 7/11 144A     279,000                         296,661         279,000         17,661   
   Kaupthing Bank    KAUPTHING BK 5.75% 10/4/11 144A     120,000                         126,900         120,000         6,900   
   Kaupthing Bank    KAUPTHING BK 7.625% 2/28/15     1,177,000                         89,746                 89,746   
   Kaupthing Bank    KAUPTHING MTN 7.125% 5/19/16 144A     130,000                         9,263                 9,263   
   Landsbankinn    LANDSBANK IS MTN 6.1% 8/25/11     641,000                         680,101         641,000         39,101   

 

 

20  


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year)

December 31, 2012

 

   Shares or
Units
     Description    Current Value  
  

Commingled Trust Funds

  
     19,380,534      

BlackRock MSCI ACWI ex-U.S. Index - Fund C

       $          204,270,827      
  6,441,896      

BlackRock Equity Index - Fund H

     325,895,518      
  2,735,664      

BlackRock Extended Equity - Market Fund K

     142,090,404      
  11,432,922      

BlackRock US Debt Index - Fund T

     208,765,155      
  5,189,942      

Pyramis Select Global Plus Fund

     59,476,734      
     

 

 

 
  

Total Commingled Trust Funds

       $          940,498,638      
  7,008,237      

Time Warner Common Stock*

     $          335,203,976      
  

Other Common Stocks

  
  4,200      

3M CO

     $                 389,970      
  94,350      

ACACIA RESEARCH - ACACIA TECH

     2,420,078      
  87,332      

ACCENTURE PLC CL A

     5,807,578      
  90,491      

ACCRETIVE HEALTH INC

     1,046,076      
  85,965      

ACME PACKET INC

     1,901,546      
  175,595      

ACXIOM CORP

     3,065,889      
  119,630      

AIMIA INC

     1,788,377      
  2,400      

AKAMAI TECHNOLOGIES INC

     98,184      
  18,500      

ALEXION PHARMACEUTICALS INC

     1,735,485      
  68,195      

ALIGN TECHNOLOGY INC

     1,892,411      
  180,710      

ALKERMES PLC

     3,346,749      
  16,600      

ALLERGAN INC

     1,522,718      
  5,100      

ALLIANCE DATA SYSTEMS CORP

     738,276      
  50,100      

ALLSCRIPTS HLTHCARE SOLS INC

     471,942      
  100      

ALTERA CORP

     3,444      
  160,410      

AMARIN CORP PLC ADR

     1,297,717      
  41,142      

AMAZON.COM INC

     10,332,402      
  35,400      

AMERICAN EXPRESS CO

     2,034,792      
  76,310      

AMERICAN PUBLIC EDUCATION INC

     2,755,554      
  59,400      

AMERICAN TOWER CORP

     4,589,838      
  45,102      

AMERICAN VANGUARD CORP

     1,401,319      
  7,600      

AMERIPRISE FINANCIAL INC

     475,988      
  400      

AMETEK INC NEW

     15,028      
  2,400      

AMGEN INC

     207,168      
  2,400      

AMPHENOL CORPORATION CL A

     155,280      
  4,100      

ANHEUSER BUSCH IV SA NV SP ADR

     358,381      
  76,983      

AOL INC

     2,279,467      
  52,846      

APPLE INC

     28,168,503      
  45,745      

ARIAD PHARMACEUTICALS INC

     877,389      

 

 

21        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Common Stocks (continued)       
  34,845      

ARUBA NETWORKS INC

       $                  723,034     
     149,073      

ASSOCIATED BANC CORP

     1,955,838     
  21,900      

AUTODESK INC

     774,165     
  76,464      

AVERY DENNISON CORP

     2,670,123     
  25,200      

BAIDU INC SPON ADR

     2,527,308     
  12,600      

BAXTER INTL INC

     839,916     
  121,219      

BIOGEN IDEC INC

     17,779,191     
  45,727      

BIOMARIN PHARMACEUTICAL INC

     2,252,055     
  18,800      

BOEING CO

     1,416,768     
  8,000      

BONAVISTA ENERGY CORP

     119,192     
  52,266      

BOULDER BRANDS INC

     674,231     
  25,232      

BRISTOW GROUP INC

     1,353,949     
  70,200      

BROADCOM CORP CL A

     2,331,342     
  64,745      

BROADSOFT INC

     2,352,186     
  264,380      

CALPINE CORP

     4,793,209     
  21,800      

CAMERON INTERNATIONAL CORP

     1,230,828     
  202,000      

CAPITAL ONE FINANCIAL CORP

     11,701,860     
  2,200      

CARDINAL HEALTH INC

     90,596     
  75,866      

CARMAX INC

     2,848,010     
  59,200      

CARNIVAL CORP PAIRED CTF

     2,176,784     
  89,870      

CARRIZO OIL & GAS INC

     1,880,080     
  60,745      

CAVIUM INC

     1,895,851     
  7,757      

CBOE HOLDINGS INC

     228,521     
  42,450      

CELADON GRP INC

     767,072     
  25,600      

CELGENE CORP

     2,015,232     
  2,700      

CERNER CORP

     209,628     
  100      

CH ROBINSON WORLDWIDE INC

     6,322     
  20,485      

CHIPOTLE MEXICAN GRILL INC

     6,093,468     
  307,746      

CITIGROUP INC

     12,174,432     
  900      

CITRIX SYSTEMS INC

     59,175     
  147,000      

CITY NATIONAL CORP

     7,279,440     
  39,751      

CLARCOR INC

     1,899,303     
  8,900      

COACH INC

     494,039     
  1,000      

COCA COLA CO

     36,250     
  57,990      

COGENT COMMUNICATIONS GROUP

     1,312,894     
  8,900      

COGNIZANT TECH SOLUTIONS CL A

     659,045     
  177,052      

COLUMBIA BANKING SYSTEMS INC

     3,176,313     
  9,725      

COMMVAULT SYSTEMS INC

     677,930     
  48,036      

COMPASS MINERALS INTL INC

     3,588,770     

 

 

22        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Common Stocks (continued)       
     172,020      

COMSTOCK RESOURCES INC NEW

       $               2,602,663     
  5,000      

CONCHO RESOURCES INC

     402,800     
  165,150      

CONSTANT CONTACT INC

     2,346,782     
  266,054      

CONSTELLATION BRANDS INC CL A

     9,415,651     
  104,933      

COPART INC

     3,095,524     
  2,300      

COSTCO WHOLESALE CORP

     227,171     
  30,100      

COVANCE INC

     1,738,877     
  8,300      

COVIDIEN PLC

     479,242     
  19,440      

CUBIST PHARMACEUTICALS INC

     817,646     
  68,389      

CUMMINS INC

     7,409,948     
  14,400      

CVS CAREMARK CORP

     696,240     
  107,400      

DANAHER CORP

     6,003,660     
  57,185      

DENBURY RESOURCES INC

     926,397     
  30,900      

DISCOVERY COMM INC CL C NON-VO

     1,807,650     
  24,200      

DISNEY (WALT) CO

     1,204,918     
  100,539      

DOLLAR TREE INC

     4,077,862     
  46,772      

DST SYSTEMS INC

     2,834,383     
  179,403      

DUNKIN BRANDS GROUP INC

     5,952,592     
  73,400      

EBAY INC

     3,744,868     
  21,200      

ECOLAB INC

     1,524,280     
  6,100      

EDWARDS LIFESCIENCES CORP

     550,037     
  67,033      

EHEALTH INC

     1,842,067     
  2,809      

ELECTRONICS FOR IMAGING INC

     53,343     
  82,500      

EMC CORP

     2,087,250     
  57,865      

EMERGENT BIOSOL

     928,155     
  74,255      

ENCORE CAP GROUP INC

     2,273,688     
  12,500      

EOG RESOURCES INC

     1,509,875     
  12,000      

EQT CORPORATION

     707,760     
  36,590      

EQUINIX INC

     7,544,858     
  101,766      

EURONET WORLDWIDE INC

     2,401,678     
  33,520      

EXACTTARGET INC

     670,400     
  3,300      

EXPEDIA INC

     202,785     
  25,900      

EXPRESS SCRIPTS HLDG CO

     1,398,600     
  200      

F5 NETWORKS INC

     19,430     
  114,412      

FACEBOOK INC A

     3,046,792     
  46,700      

FASTENAL CO

     2,180,423     
  25,600      

FEDEX CORP

     2,348,032     
  23,830      

FINANCIAL ENGINES INC

     661,283     
  28,490      

FINISAR CORP

     464,387     

 

 

23        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Common Stocks (continued)       
  292,687      

FIRST HORIZON NATIONAL CORP

       $               2,900,528     
  74,007      

FIRST NIAGARA FINL GROUP INC

     586,876     
  36,700      

FIRSTMERIT CORP

     520,773     
  8,000      

FISERV INC

     632,240     
  6,300      

FMC TECHNOLOGIES INC

     269,829     
  51,107      

FORTUNE BRANDS HOME & SEC INC

     1,493,347     
  21,400      

FOSSIL INC

     1,992,340     
  56,015      

FRANCESCA’S HOLDINGS CORP

     1,454,149     
  26,100      

FRANKLIN RESOURCES INC

     3,280,770     
  33,140      

FTI CONSULTING INC

     1,093,620     
  114,087      

FUSION-IO INC

     2,616,015     
  131,244      

GAMESTOP CORP CL A

     3,292,912     
  96,263      

GENESEE & WYOMING INC CL A

     7,323,689     
  185,126      

GILEAD SCIENCES INC

     13,597,505     
  120,560      

GLOBE SPECIALTY METALS INC

     1,657,700     
  3,700      

GOLDMAN SACHS GROUP INC

     471,972     
  239,525      

GOODRICH PETRO CORP

     2,232,373     
  23,591      

GOOGLE INC A

     16,734,748     
  3,900      

GREEN MTN COFFEE ROASTERS INC

     161,304     
  1,420      

HAIN CELESTIAL GROUP INC

     76,992     
  20,580      

HALCON RESOURCES CORP

     142,414     
  177,694      

HALLIBURTON CO

     6,164,205     
  20,800      

HARLEY-DAVIDSON INC

     1,015,872     
  42,217      

HARMAN INTL IND INC NEW

     1,884,567     
  22,835      

HAYNES INTL INC

     1,184,451     
  18,200      

HEALTH NET INC

     442,260     
  1,800      

HENRY SCHEIN INC

     144,828     
  48,190      

HILLSHIRE BRANDS CO

     1,356,067     
  19,500      

HOME DEPOT INC

     1,206,075     
  23,000      

HONEYWELL INTL INC

     1,459,810     
  256,877      

HORSEHEAD HOLDING CORP

     2,622,714     
  4,500      

HUNT J B TRANSPORT SERVICES IN

     268,695     
  29,400      

HUNTINGTON INC W/I

     1,274,196     
  83,759      

IHS INC CL A

     8,040,864     
  56,045      

INNERWORKINGS INC

     772,300     
  175,415      

INPHI CORP

     1,680,476     
  38,395      

INSULET CORP

     814,742     
  482,965      

INTEGRATED DEVICE TECH INC

     3,525,645     
  94,800      

INTERACTIVE BROKERS GROUP INC

     1,296,864     

 

 

24        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Common Stocks (continued)       
  6,500      

INTERCONTINENTAL EXCHANGE INC

       $                  804,765     
     108,101      

INTERNAP NETWORK SERVICES CORP

     750,221     
  11,795      

INTERXION HOLDING NV

     280,249     
  9,000      

INTUIT INC

     535,500     
  24,176      

INTUITIVE SURGICAL INC

     11,855,186     
  77,400      

INVESCO LTD

     2,019,366     
  32,115      

IPG PHOTONICS CORP

     2,140,465     
  4,042      

JONES LANG LASALLE INC

     339,285     
  6,500      

JPMORGAN CHASE & CO

     285,805     
  35,600      

JUNIPER NETWORKS INC

     700,252     
  14,900      

KANSAS CITY SOUTHERN

     1,243,852     
  101,518      

LAREDO PETROLEUM INC

     1,843,567     
  42,200      

LAS VEGAS SANDS CORP

     1,947,952     
  82,060      

LENDER PROCESSING SVCS INC

     2,020,317     
  500      

LENNAR CORP CL A

     19,335     
  26,200      

LIBERTY INTERACTIVE CORP

     515,616     
  23,872      

LIFE TIME FITNESS INC

     1,174,741     
  114,357      

LIMITED BRANDS INC

     5,381,640     
  46,379      

LINKEDIN CORP CL A

     5,325,237     
  304,611      

LOWES COS INC

     10,819,783     
  33,954      

LPL FINANCIAL HOLDINGS INC

     956,145     
  149,809      

LYONDELLBASELL INDS CLASS A

     8,552,596     
  400      

M&T BANK CORP

     39,388     
  45,513      

M/I HOMES INC

     1,206,095     
  38,386      

MAGELLAN HLTH SERVICES INC

     1,880,914     
  92,155      

MANITOWOC CO INC

     1,444,990     
  24,200      

MARRIOTT INTERNATIONAL INC A

     901,934     
  11,100      

MARSH & MCLENNAN COS INC

     382,617     
  59,285      

MASTEC INC

     1,477,975     
  35,054      

MASTERCARD INC CL A

     17,221,329     
  10,705      

MATERION CORP

     275,975     
  400      

MCGRAW-HILL COS INC

     21,868     
  31,900      

MCKESSON CORP

     3,093,024     
  17,510      

MEDIDATA SOLUTIONS INC

     686,217     
  54,135      

MEDIFAST INC

     1,428,623     
  22,400      

MICHAEL KORS HOLDINGS LTD

     1,143,072     
  54,185      

MOBILE MINI INC

     1,128,674     
  103,627      

MONEYGRAM INTERNATIONAL INC

     1,377,203     
  122,605      

MONSANTO CO NEW

     11,604,563     

 

 

25        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Common Stocks (continued)       
  9,300      

MONSTER BEVERAGE CORP

       $                  491,784     
  4,400      

MORGAN STANLEY

     84,128     
  60,048      

MYRIAD GENETICS INC

     1,636,308     
  141,132      

NATIONAL OILWELL VARCO INC

     9,646,372     
  73,670      

NATIONSTAR MORTGAGE HLDGS INC

     2,282,297     
  78,188      

NEW GOLD INC(US)

     862,414     
     238,237      

NIELSEN HOLDINGS BV

     7,287,670     
  22,400      

NIKE INC CL B

     1,155,840     
  15,600      

NORTHERN TRUST CORP

     782,496     
  500      

OCCIDENTAL PETROLEUM CORP

     38,305     
  8,100      

OMNICOM GROUP INC

     404,676     
  500      

ORACLE CORP

     16,660     
  119,885      

ORASURE TECHNOLOGIES INC

     860,774     
  15,200      

O’REILLY AUTOMOTIVE INC

     1,359,184     
  96,290      

PANDORA MEDIA INC

     883,942     
  20,802      

PAREXEL INTERNATIONAL CORP

     615,531     
  132,190      

PENTAIR LTD

     6,497,139     
  400      

PERRIGO CO (USA)

     41,612     
  1,400      

PETSMART INC

     95,676     
  165,803      

PEYTO EXPL & DEV CORP NEW

     3,832,121     
  44,870      

PHH CORP

     1,020,793     
  11,300      

PIONEER NATURAL RESOURCES CO

     1,204,467     
  46,735      

POLYPORE INTERNATIONAL INC

     2,173,178     
  20,535      

POWER INTEGRATIONS INC

     690,181     
  31,000      

PRAXAIR INC

     3,392,950     
  84,506      

PRECISION CASTPARTS CORP

     16,007,127     
  18,900      

PRICELINE.COM INC

     11,740,680     
  100      

PRUDENTIAL FINANCIAL INC

     5,333     
  16,300      

PVH CORP

     1,809,463     
  51,335      

QLIK TECHNOLOGIES INC

     1,114,996     
  67,500      

QUALCOMM INC

     4,186,350     
  135,100      

QUESTAR CORP

     2,669,576     
  558,305      

QUICKSILVER RES INC

     1,596,752     
  53,248      

RALPH LAUREN CORP

     7,982,940     
  11,900      

RANGE RESOURCES CORP

     747,677     
  149,387      

RED HAT INC

     7,911,536     
  55,935      

REDWOOD TRUST INC REIT

     944,742     
  6,400      

REGENERON PHARMACEUTICALS INC

     1,094,848     

 

 

26        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Common Stocks (continued)       
  8,200      

ROPER INDUSTRIES INC

       $                  914,136     
  2,850      

ROSETTA RESOURCES INC

     129,276     
  88,378      

ROSS STORES INC

     4,785,669     
  13,400      

SALESFORCE.COM INC

     2,252,540     
  43,300      

SCHLUMBERGER LTD

     3,000,257     
  252,096      

SCORPIO TANKERS INC

     1,792,403     
  16,800      

SHERWIN WILLIAMS CO

     2,584,176     
  51,790      

SODASTREAM INTERNATIONAL LTD

     2,324,853     
  17,215      

SOURCEFIRE INC

     812,892     
  47,525      

SPECTRANETICS CORP

     701,944     
  79,050      

STANCORP FINL GROUP INC

     2,898,764     
  68,000      

STARBUCKS CORP

     3,646,160     
  36,300      

STARWOOD HTLS & RESRT WRLDWIDE

     2,082,168     
  10,500      

STATE STREET CORP*

     493,605     
  16,180      

STEVEN MADDEN LTD

     683,929     
  5,111      

STIFEL FINANCIAL CORP

     163,399     
  10,900      

STRYKER CORP

     597,538     
  15,100      

TD AMERITRADE HOLDING CORP

     253,831     
  36,615      

TENNECO INC

     1,285,553     
     168,266      

TESLA MOTORS INC

     5,699,169     
  20,800      

THERMO FISHER SCIENTIFIC INC

     1,326,624     
  100      

TIFFANY & CO

     5,734     
  1,500      

TIM HORTONS INC

     73,770     
  45,124      

TORCHMARK CORP

     2,331,557     
  30,238      

TRACTOR SUPPLY CO.

     2,671,830     
  48,097      

TRANSDIGM GROUP INC

     6,558,507     
  2,100      

TRIMBLE NAVIGATION LTD

     125,538     
  31,020      

TUMI HOLDINGS INC

     646,767     
  26,874      

TUPPERWARE BRANDS CORP

     1,722,623     
  37,097      

ULTA SALON COSMETICS & FRG INC

     3,645,151     
  29,900      

UNION PACIFIC CORP

     3,759,028     
  20,900      

UNITED CONTINENTAL HLDGS INC

     488,642     
  91,162      

UNITED RENTALS INC

     4,149,694     
  2,500      

UNITED TECHNOLOGIES CORP

     205,025     
  20,700      

UNITEDHEALTH GROUP INC

     1,122,768     
  27,900      

US BANCORP DEL

     891,126     
  1,300      

VALEANT PHARMACEUTICALS (USA)

     77,701     
  96,100      

VALUECLICK INC

     1,865,301     
  66,000      

VCA ANTECH INC

     1,389,300     

 

 

27        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Common Stocks (continued)       
  400      

VERISK ANALYTICS INC

       $                    20,400     
  142,161      

VIACOM INC CL B

     7,497,571     
  20,400      

VISA INC CL A

     3,092,232     
  26,880      

VISTAPRINT NV

     883,277     
  69,629      

VMWARE INC CL A

     6,554,874     
  297,680      

WABASH NATIONAL CORP

     2,670,190     
  32,880      

WALTER ENERGY INC

     1,179,734     
  106,430      

WASTE CONNECTIONS INC

     3,596,270     
  90,770      

WESCO INTERNATIONAL INC

     6,120,621     
  75,533      

WHITEWAVE FOODS CO

     1,173,783     
  14,400      

WHOLE FOODS MARKET INC

     1,315,152     
  304,415      

WISDOMTREE INVESTMENTS INC

     1,863,020     
  51,275      

WW GRAINGER INC

     10,376,522     
  56,504      

WYNN RESORTS LTD

     6,356,135     
  19,300      

XILINX INC

     692,870     
  108,750      

YUM BRANDS INC

     7,221,000     
     

 

 

 
  

Total Other Common Stocks

     $           712,896,076     
  

Preferred Stocks

  
  1,450      

CITIGROUP CAP XIII 7.875% PFD

     $                    40,455     
     

 

 

 
  

Total Preferred Stocks

     $                    40,455     
  

Synthetic Investment Contracts

  
  

CASH

       $                    29,165     
     3,595,135      

COLCHESTER STREET TRUST MONEY MARKET PORTFOLIO CLASS I

     3,595,135     
  1,350,000      

ABBEY NATL 3.875% 11/10/14 144A

     1,408,182     
  1,087,000      

ABBVIE INC 1.75% 11/06/17 144A

     1,101,217     
  79,000      

AETNA INC 1.5% 11/15/17

     79,308     
  419,365      

ALLYA 2011-1 A3 1.45% 1/15

     420,974     
  434,135      

ALLYA 2011-2 A3 1.18% 4/15

     435,818     
  691,101      

ALLYA 2011-3 A3 0.97% 8/15

     693,628     
  507,943      

ALLYA 2012-1 A2 0.71% 9/14

     508,839     
  600,000      

ALLYA 2012-2 A3 0.74% 4/16

     602,745     
  870,000      

ALLYL 2012-SN1 A3 .57% 8/20/15

     870,506     
  606,000      

AMER HONDA 2.5% 9/21/15 144A

     636,102     
  882,000      

AMERICAN EX CC 2.75% 9/15/15

     931,742     
  958,000      

AMERICAN EX MTN 2.8% 9/19/16

     1,020,921     
  630,000      

AMERICAN EXP .875% 11/13/15

     630,204     
  630,000      

AMERICAN HONDA 1.5% 9/17 144A

     632,486     

 

 

28        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
  479,000      

AMERICAN INTL GRP 3.8% 3/22/17

       $                  523,281     
  3,110,000      

AMXCA 2012-2 A .68% 3/18

     3,121,270     
  3,080,000      

AMXCA 2012-5 A 0.59% 5/18

     3,081,036     
  640,000      

ANHEUSER BUSCH 1.375% 7/15/17

     650,546     
  590,000      

ANZ BK GRP 2.125% 1/10/14 144A

     604,257     
  174,000      

APACHE CORP 1.75% 4/15/17

     179,258     
  230,000      

AT&T INC 1.4% 12/01/17

     230,135     
  608,000      

AT&T INC 2.4% 8/15/16

     639,828     
  1,830,000      

AT&T INC 2.5% 8/15/15

     1,925,055     
  600,000      

AT&T INC 2.95% 5/15/16

     637,331     
  630,000      

AUSTRALIA & NZ 1.875% 10/06/17

     645,667     
  870,000      

BAAT 2012-1 A3 0.78% 6/16

     874,346     
  85,782      

BACM 2005-3 A2 CSTR 7/43

     86,275     
  2,290,000      

BANK AMERICA 4.5% 4/1/15

     2,466,575     
  1,890,000      

BANK AMERICA FDG 3.7% 9/1/15

     2,021,152     
  630,000      

BANK MONTREAL MTN 2.5% 1/11/17

     667,625     
  3,120,000      

BANK OF NOVA SC 2.05% 10/07/15

     3,239,120     
  630,000      

BANK OF NY MTN 2.4% 1/17/17

     666,678     
  1,690,000      

BARCLAYS BANK 2.375% 1/13/14

     1,737,258     
  590,000      

BB&T CORP MTN B/E 3.2% 3/15/16

     633,373     
  620,000      

BERK HATH INC 2.2% 8/15/16

     651,872     
  620,000      

BG ENERGY 2.875% 10/16 144A

     657,950     
  1,500,000      

BK NOVA SCOTIA 1.375% 12/18/17

     1,502,248     
  454,964      

BMWLT 2011-1 A3 1.06% 2/14

     455,877     
  670,000      

BMWLT 2012-1 A3 .75% 2/20/15

     672,487     
  570,000      

BMWOT 2011-A A3 .76% 8/15

     571,986     
  500,000      

BOIT 2003-A8 A8 1ML+25 5/16

     500,857     
  590,000      

BP CAPITAL MARKET 3.2% 3/11/16

     634,982     
  620,000      

BP CAPITAL MARKETS 2.248% 11/16

     647,171     
  650,000      

BP CAPITAL MKTS 1.375% 11/6/17

     651,696     
  1,760,000      

BRIT COLMB PROV 2.1% 5/18/16

     1,853,339     
  3,710,000      

BRITISH COLMB PRO 1.2% 4/25/17

     3,783,514     
  630,000      

BSCMS 05-PWR8 A4 4.674% 6/41

     685,264     
  910,000      

BSCMS 05-T18 A4 4.933% 2/42

     986,548     
  1,800,000      

C 6.5% 08/13 SNR

     1,905,175     
  950,000      

CANADA GOVT .875% 2/14/17

     960,550     
  530,000      

CANADIAN IMP BK .9% 10/01/15

     533,433     
  1,320,000      

CAPITAL ONE FIN 2.125% 7/15/14

     1,356,669     
  620,000      

CAPITAL ONE FIN 2.15% 3/23/15

     636,447     

 

 

29        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
  640,000      

CAPITAL ONE FIN CO 1% 11/06/15

       $                  638,763     
  490,000      

CARMX 2012-3 A3 0.52% 7/17

     489,955     
     1,430,000      

CCCIT 2008-A5 A5 4.85% 4/15

     1,463,585     
  690,000      

CCCIT 2009-A4 A4 4.9% 6/16

     736,099     
  1,760,000      

CCCIT 2012-A1 A1 0.55% 10/17

     1,760,880     
  396,962      

CFGNR 2011-150 D 3% 4/37

     408,415     
  540,000      

CGCMT 2006-C5 A4 5.431% 10/49

     622,001     
  3,000,000      

CHAIT 2012-A3 A3 6/17

     3,020,369     
  3,060,000      

CHAIT 2012-A5 A5 0.59% 8/17

     3,064,036     
  3,800,000      

CHAIT 2012-A8 A8 0.54% 10/17

     3,796,048     
  1,176,000      

CHEVRON CORP NE 1.104% 12/5/17

     1,184,703     
  600,000      

CITIGROUP 3.953% 6/15/16

     646,703     
  1,200,000      

CITIGROUP 4.75% 5/19/15

     1,300,206     
  141,000      

CITIGROUP 5.125% 5/5/14

     149,662     
  1,271,000      

CITIGROUP 6.375% 8/12/14

     1,404,791     
  630,000      

CITIGROUP INC 2.25% 8/07/15

     650,822     
  620,000      

CITIGROUP INC 2.65% 3/02/15

     643,846     
  70,000      

COMERICA INC 3% 9/16/15

     74,521     
  800,000      

COMM 2006-C8 A4 0 12/46

     922,630     
  233,669      

COMM 2012-CR1 A1 1.116% 5/45

     236,027     
  510,000      

COMM 2012-CR1 A2 2.35% 5/45

     537,579     
  470,000      

COMM 2012-CR5 A1 0.673% 12/45

     470,264     
  600,000      

COMMONWEALTH BK 3.5% 3/19/15 144A

     640,238     
  3,180,000      

COMMONWEALTH MTN 2.9% 9/17/14 144A

     3,337,937     
  630,000      

COMMONWEALTH NY 1.95% 3/16/15

     650,052     
  382,000      

COMWLTH EDISON 1.95% 9/01/16

     396,463     
  550,000      

CREDIT SUIS(NY)MTN 3.5% 3/23/15

     585,204     
  3,162,000      

CREDIT SUISSE NY 2.2% 1/14/14

     3,242,522     
  487,561      

CSFB 2003-C4 A4 5.137% 8/36

     495,428     
  625,000      

DAIMLER FIN 1.875% 9/15/14144A

     638,694     
  1,260,000      

DAIMLER FIN NOR 1.3% 7/15 144A

     1,274,042     
  620,000      

DAIMLER FINA NA 1.65% 4/15 144A

     629,865     
  138,890      

DBUBS 2011-LC3A A1 2.238% 8/44

     142,723     
  1,400,000      

DCENT 2012-A1 A1 0.81% 8/17

     1,411,117     
  2,510,000      

DCENT 2012-A3 A 0.86% 11/15/17

     2,527,399     
  590,000      

DEUTSCHE BK AG 3.25% 1/11/16

     633,248     
  562,000      

DISNEY (WALT) MTN 1.1% 12/1/17

     563,497     
  421,000      

DOMINION RES INC 1.95% 8/15/16

     435,634     
  1,602,000      

DOMINION RESOUR 2.25% 9/1/15

     1,671,865     

 

 

30        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
  211,000      

DUKE ENERGY CAR 1.75% 12/15/16

       $                  216,418     
  584,000      

ENEL FIN INTL 5.7% 1/15/13144A

     599,717     
  395,000      

EXPORT DEV CANADA 1.5% 5/15/14

     402,358     
  428,337      

FHLG            5.50% 3/34 #G01665

     470,356     
     3,086,452      

FHLG            5.50% 5/34 #Z40042

     3,397,910     
  531,063      

FHLG 10YR 3.00% 8/21 #J16393

     558,757     
  518,214      

FHLG 10YR 3.00% 8/21 #J16442

     545,238     
  445,624      

FHLG 15YR 3.50% 1/26 #G14312

     476,986     
  1,196,422      

FHLG 15YR 3.50% 4/27 #G14449

     1,283,989     
  5,151,806      

FHLG 15YR 3.50% 10/26 #G14450

     5,495,059     
  330,992      

FHLG 15YR 4.00% 4/26 #E02867

     358,200     
  933,870      

FHLG 15YR 4.00% 6/24 #G18312

     995,751     
  790,342      

FHLG 15YR 4.00% 7/24 #G13596

     842,712     
  622,890      

FHLG 15YR 4.00% 9/25 #E02787

     676,427     
  629,158      

FHLG 15YR 4.00% 9/25 #G14376

     670,848     
  498,946      

FHLG 15YR 4.50% 8/18 #E98688

     532,897     
  173,545      

FHLG 15YR 4.50% 9/18 #E99205

     185,354     
  236,429      

FHLG 15YR 4.50% 10/18 #E99833

     252,517     
  145,612      

FHLG 15YR 4.50% 11/18 #B10931

     155,539     
  572,518      

FHLG 15YR 5.00% 3/19 #G13052

     616,560     
  787,534      

FHLG 15YR 5.00% 4/20 #G13598

     849,586     
  181,726      

FHLG 15YR 5.50% 4/18 #G11389

     194,137     
  288,520      

FHLG 25YR 5.50% 7/35 #G05815

     317,004     
  379,747      

FHLM ARM 2.98% 8/41 #1B8533

     398,518     
  215,218      

FHLM ARM 3.07% 9/41 #1B8608

     226,193     
  241,544      

FHLM ARM 3.53% 4/40 #1B4657

     254,933     
  183,533      

FHLM ARM 3.58% 4/40 #1B4702

     192,815     
  22,392      

FHLM ARM 3.88% 1/35 #848084

     23,942     
  43,050      

FHLM ARM 4.68% 1/36 #847584

     46,087     
  129,083      

FHLM ARM 5.37% 12/35 #1N0106

     137,281     
  21,959      

FHLM ARM 5.78% 10/35 #1N0063

     23,676     
  74,853      

FHLM ARM 4.199% 8/36 #848185

     80,621     
  2,609      

FHLM ARM 4.889% 3/33 #847126

     2,782     
  134,443      

FHLM ARM 4.941% 11/35 #1J1228

     142,608     
  40,939      

FHLM ARM 5.084% 8/35 #1J0005

     44,124     
  4,000,000      

FHLMC .75% 1/12/18

     3,970,419     
  3,582,000      

FHLMC 1% 9/29/17

     3,624,138     
  2,425,000      

FHLMC 1.75% 9/10/15

     2,525,530     
  51,174      

FHR 2290 C 6% 2/31

     56,670     

 

 

31        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
  59,149      

FHR 2313 C 6% 5/31

       $                    64,135     
  48,814      

FHR 2394 KD 6% 12/16

     52,261     
  32,049      

FHR 2417 EH 6% 2/17

     34,395     
  90,933      

FHR 2763 PD 4.5% 12/17

     91,472     
  135,717      

FHR 2780 QD 4.5% 3/18

     136,626     
  281,252      

FHR 2866 XE 4% 12/18

     290,954     
     1,171,206      

FHR 3102 FD 1ML+30 1/36

     1,174,568     
  458,525      

FHR 3117 JF 1ML+30 2/36

     459,635     
  325,156      

FHR 3415 PC 5% 12/37

     354,699     
  64,213      

FHR 3560 LA 2% 8/14

     64,359     
  222,157      

FHR 3573 LC 1.85% 8/14

     223,710     
  437,144      

FHR 3741 HD 3% 11/15/39

     459,443     
  592,684      

FHR 3763 QA 4% 4/34

     638,927     
  515,614      

FHR 3820 DA 4% 11/35

     567,627     
  671,551      

FHR 3943 EF 1ML+25 2/26

     672,924     
  2,751,883      

FHR 4046 LA 3% 11/2026

     2,928,751     
  336,000      

FIFTH THIRD BAN 3.625% 1/25/16

     364,185     
  2,302,785      

FNMA 5.50% 11/34 #310105

     2,534,622     
  91,614      

FNMA 6.50% 7/32 #545759

     104,160     
  32,169      

FNMA 6.50% 7/32 #545762

     36,574     
  37,483      

FNMA 6.50% 7/35 #745092

     42,607     
  59,920      

FNMA 6.50% 8/36 #888034

     68,113     
  278,504      

FNMA 6.50% 8/36 #888544

     316,801     
  226,588      

FNMA 6.50% 8/36 #AE0746

     257,709     
  32,218      

FNMA 6.50% 12/32 #735415

     36,627     
  307,234      

FNMA 6.50% 12/35 #AD0723

     349,195     
  31,967,000      

FNMA .5% 9/28/15

     32,090,380     
  5,678,000      

FNMA 0.5% 5/27/15

     5,698,708     
  5,368,000      

FNMA 0.5% 7/02/15

     5,397,413     
  670,000      

FNMA 0.75% 12/19/14

     675,908     
  888,000      

FNMA 0.875% 12/20/17

     888,731     
  5,713,000      

FNMA 1.625% 10/26/15

     5,923,307     
  489,221      

FNMA 15YR 3.50% 1/26 #AL1168

     528,142     
  1,812,081      

FNMA 15YR 3.50% 3/27 #AL1746

     1,961,342     
  1,139,298      

FNMA 15YR 3.50% 5/27 #AL1741

     1,227,801     
  846,718      

FNMA 15YR 3.50% 5/27 #AL1742

     908,259     
  428,287      

FNMA 15YR 3.50% 5/27 #AL1751

     461,558     
  6,571,744      

FNMA 15YR 3.50% 12/25 #AE0368

     6,987,783     
  224,073      

FNMA 15YR 4.00% 9/18 #734729

     240,470     

 

 

32        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
     218,470      

FNMA 15YR 4.50% 6/19 #745278

       $                  235,709     
  100,683      

FNMA 15YR 4.50% 7/20 #888653

     108,627     
  3,431      

FNMA 15YR 7.00% 1/16 #535662

     3,640     
  1,402      

FNMA 15YR 7.00% 5/15 #495848

     1,479     
  7,277      

FNMA 15YR 7.00% 8/14 #783427

     7,536     
  2,159      

FNMA 15YR 7.00% 11/18 #735420

     2,265     
  14,228      

FNMA 20YR 5.50% 10/22 #254522

     15,530     
  34,064      

FNMA ARM 2.42% 11/36 #AD0710

     36,098     
  76,435      

FNMA ARM 2.61% 4/35 #995609

     81,858     
  183,209      

FNMA ARM 3.01% 8/41 #AI4358

     191,499     
  338,783      

FNMA ARM 3.20% 1/40 #AC0599

     355,575     
  201,448      

FNMA ARM 3.37% 9/41 #AI8935

     213,097     
  268,860      

FNMA ARM 3.47% 3/40 #AD0820

     281,685     
  362,719      

FNMA ARM 3.60% 3/40 #AD1555

     383,194     
  173,314      

FNMA ARM 4.21% 5/35 #889946

     184,252     
  362,801      

FNMA ARM 4.285% 7/33#AD0066

     386,080     
  217,918      

FNMA ARM 4.30% 2/35 #995017

     232,031     
  171,792      

FNMA ARM 4.53% 12/34 #802852

     183,584     
  221,959      

FNMA ARM 4.58% 7/35 #826362

     236,225     
  150,586      

FNMA ARM 4.68% 11/34 #735011

     159,549     
  34,899      

FNMA ARM 5.12% 6/35 #823810

     37,301     
  11,607      

FNMA ARM 5.280% 3/35 #843014

     12,252     
  14,577      

FNMA ARM 6.25% 6/36 #886983

     15,620     
  832,876      

FNMA ARM 4.198% 11/34 #841068

     891,166     
  65,237      

FNMA ARM 4.428% 7/36 #555923

     69,025     
  192,843      

FNMA ARM 4.564% 4/33 #713937

     202,774     
  96,939      

FNMA ARM 4.58% 7/35 #995273

     104,057     
  2,692      

FNMA ARM 4.653% 3/35 #816322

     2,794     
  16,202      

FNMA ARM 4.893% 10/35 #847787

     16,949     
  17,372      

FNMA ARM 4.898% 5/35 #995272

     18,649     
  8,381      

FNMA ARM 5.344% 7/35 #834917

     8,833     
  15,413      

FNMA ARM 5.349% 12/34 #843013

     16,214     
  29,582      

FNMA ARM 3.752% 10/33 #755148

     31,126     
  17,685      

FNMA ARM 3.753% 10/33 #746320

     18,882     
  1,653      

FNMA ARM 3.984% 5/33 #703915

     1,735     
  6,654      

FNMA ARM 4.293% 3/35 #815586

     7,085     
  12,721      

FNMA ARM 4.358% 10/33 #754672

     13,433     
  200,561      

FNMA ARM 4.512% 12/36 #995606

     216,004     
  57,021      

FNMA ARM 4.513% 12/34 #802695

     60,563     

 

 

33        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
  206,555      

FNMA ARM 4.53% 10/35 #995414

       $                  219,968     
     1,055,604      

FNMA ARM 4.55% 10/35 #995415

     1,122,586     
  18,565      

FNMA ARM 4.801% 2/33 #695019

     19,485     
  14,711      

FNMA ARM 5.05% 7/34 #801635

     15,622     
  49,308      

FNR 2002-56 MC 5.5% 9/17

     52,384     
  307,644      

FNR 2003-74 PG 4.5% 8/18

     329,044     
  390,525      

FNR 2005-106 UF 1ML+30 11/35

     391,605     
  402,648      

FNR 2005-90 FC 1ML+25 10/35

     403,014     
  273,443      

FNR 2008-29 BG 4.7% 12/35

     290,818     
  827,863      

FNR 2008-95 AD 4.5% 12/23

     877,955     
  288,494      

FNR 2010-123 DL 3.5% 11/25

     303,025     
  572,794      

FNR 2010-135 DE 2.25% 4/24

     583,701     
  452,559      

FNR 2010-143 B 3.5% 12/25

     479,614     
  344,354      

FNR 2011-23 AB 2.75% 6/25/20

     356,905     
  470,226      

FNR 2011-88 AB 2.5% 9/26

     485,603     
  1,098,444      

FNR 2012-15 FP 1ML+38 6/40

     1,103,076     
  457,710      

FNR 2012-94 E 3% 6/22

     481,867     
  980,000      

FORD 2 11-B ABS 1.05% 10/15/14

     985,310     
  1,080,000      

FORDL 2011-A A3 1% 7/14

     1,082,687     
  390,000      

FORDL 2012-A A3 0.85% 1/15

     391,872     
  300,000      

FORDL 2012-B A2 0.54% 11/14

     300,243     
  730,000      

FORDL 2012-B A3 0.57% 9/15

     730,874     
  259,855      

FORDO 2009-C A4 4.43% 11/14

     264,248     
  257,963      

FORDO 2011-A A3 .97% 1/15

     258,659     
  471,669      

FORDO 2011-B A3 .84% 6/15

     473,053     
  920,000      

FORDO 2012-B A3 0.72% 12/15/16

     923,496     
  760,000      

FORDO 2012-D A3 0.51% 4/17

     759,858     
  202,000      

FRANCE TELECOM 2.125% 9/16/15

     209,001     
  830,000      

G2SF 12-149 LF 1ML+25 12/42

     831,032     
  450,000      

GE CAP CORP 1.6% 11/20/17

     450,944     
  1,818,000      

GE CAP CORP 2.25% 11/9/15

     1,883,230     
  950,000      

GE CAP CORP 2.9% 1/09/17

     1,017,333     
  823,000      

GE CAP CORP MTN 2.15% 1/09/15

     853,736     
  534,000      

GE CAP MTN 3.5% 6/29/15

     567,503     
  404,000      

GE ELEC CAP CORP 2.1% 1/07/14

     414,872     
  830,000      

GECMC 2006-C1 A4 CSTR 3/44

     934,835     
  1,170,000      

GEMNT 2012-1 A 1.03% 1/18

     1,182,536     
  3,800,000      

GEMNT 2012-5 A 0.97% 6/15/18

     3,836,236     
  178,000      

GENERAL ELEC 2.95% 5/09/16

     188,210     

 

 

34        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
  620,000      

GENERAL ELEC MTN 3.35% 10/17/16

       $                  669,579     
  289,931      

GMACC 2003-C2 A2 CSTR 5/40

     295,535     
  600,000      

GMACC 2004-C2 A4 5.301% 8/38

     638,933     
  276,282      

GNR 2010-112 PM 3.25% 9/33

     284,577     
  332,372      

GNR 2010-99 PT 3.5% 8/33

     343,691     
     2,020,000      

GNR 2012-149 MF 1ML+25 12/42

     2,022,827     
  870,000      

GOLDMAN SAC GRP 3.625% 2/07/16

     933,314     
  630,000      

GOLDMAN SACH MTN 1.6% 11/23/15

     635,437     
  1,373,000      

GOLDMAN SACHS MTN 3.7% 8/1/15

     1,470,110     
  660,000      

GSMS 04-GG2 A6 CSTR 8/38

     700,358     
  12,712      

GSMS 2005-GG4 A3 4.607% 7/39

     12,826     
  129,301      

GSMS 2006-GG6 A2 5.506% 4/38

     133,991     
  386,477      

GSMS 2006-GG8 A2 5.479% 11/39

     394,641     
  426,482      

GSMS 2011-GC5 A1 CSTR 8/44

     432,417     
  193,430      

GSMS 2012-GC6 A1 1.282% 1/45

     195,492     
  223,857      

HAROT 2010-1 A4 1.98% 5/23/16

     224,859     
  361,958      

HAROT 2010-3 A3 0.7% 4/14

     362,343     
  310,000      

HAROT 2011-1 A4 1.8% 4/17

     315,527     
  638,878      

HAROT 2011-2 A3 0.94% 3/15

     641,452     
  324,966      

HAROT 2011-3 A2 1 4/14

     325,338     
  390,000      

HAROT 2012-1 A3 0.77% 1/16

     391,962     
  760,000      

HAROT 2012-2 A3 0.7% 2/16

     764,353     
  71,795      

HART 09-A A4 3.15% 3/16

     73,049     
  311,381      

HART 2011-A A3 1.44% 4/15

     312,750     
  880,000      

HART 2012-B A3 .62% 9/16

     882,675     
  584,000      

HEWLETT PACKARD CO 1.25% 9/13

     586,183     
  630,000      

HEWLETT-PACKARD 2.625% 12/9/14

     638,424     
  1,200,000      

HSBC BANK 3.1% 5/24/16 144A

     1,272,220     
  555,000      

HSBC USA INC 1.625% 1/16/18

     555,565     
  620,000      

HSBC USA INC 2.375% 2/13/15

     643,354     
  812,000      

IBM CORP 1.95% 7/22/16

     850,649     
  910,000      

ING BANK NV 2% 10/18/13 144A

     917,432     
  630,000      

INTEL CORP 1.35% 12/15/17

     630,050     
  2,105,000      

JPMC CO MTN 1.875% 3/20/15

     2,153,780     
  600,000      

JPMC CO MTN 3.7% 1/20/15

     641,620     
  223,522      

JPMCC 03-CB7 A4 CSTR 1/38

     230,353     
  59,168      

JPMCC 2003-C1 A2 4.985% 1/37

     59,415     
  319,716      

JPMCC 2005-LDP2 A3 4.697% 7/42

     322,090     
  272,355      

JPMCC 2005-LDP5 A2 5.198% 12/44

     275,921     

 

 

35        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
  304,987      

JPMCC 2007-LD11 A2 CSTR 6/49

       $                  316,093     
  154,571      

JPMCC 2007-LDPX A2S 5.305% 1/49

     155,983     
  582,085      

JPMCC 2011-C5 A1 1.600% 8/46

     592,885     
  600,000      

JPMCC 2012-C6 A2 2.2058% 5/45

     627,491     
  650,000      

JPMORGAN CHASE & CO 2% 8/15/17

     668,469     
  630,000      

JPMORGAN CHASE 1.1% 10/15/15

     631,334     
     2,028,000      

JPMORGAN CHASE CO 3.4% 6/24/15

     2,140,996     
  127,322      

LBUBS 2003-C3 A4 4.166% 5/32

     128,190     
  586,628      

LBUBS 2004-C8 4.799% 12/29

     620,242     
  210,000      

LBUBS 2006-C6 A4 5.372% 9/39

     242,034     
  167,372      

LBUBS 2007-C6 A2 5.845% 7/40

     171,977     
  1,490,000      

MASSMUTUAL GLB 3.125% 4/16 144A

     1,589,613     
  1,250,000      

MASSMUTUAL GLBL 2% 4/5/17 144A

     1,288,390     
  600,000      

MBALT 2012-A A3 1.14% 11/14

     602,664     
  727,841      

MBART 2011-1 A3 0.85% 3/15

     729,817     
  122,000      

MCKESSON CORP 0.95% 12/04/15

     122,248     
  346,000      

MERRILL LYNCH 5.45% 7/15/14

     375,328     
  1,000,000      

MET LIFE GLBL 2.5% 9/29/15 144A

     1,049,462     
  2,212,000      

MET LIFE GLBL FD 2% 1/9/15 144

     2,292,823     
  273,000      

METLIFE INC STEP 12/15/17

     277,406     
  189,000      

MICROSOFT CORP .875% 11/15/17

     188,182     
  950,000      

MIZUHO CORP BK 1.55% 10/17 144A

     953,630     
  2,320,000      

MLCFC 2006-3 A4 CSTR 7/46

     2,677,567     
  795,000      

MLMT 2005-MKB2 XP CSTR 9/42

     614     
  199,000      

MONUMENTAL GLBL 5.5% 4/13 144A

     203,945     
  200,000      

MORGAN STANLEY MTN 4.2% 11/20/14

     209,635     
  580,000      

MORGAN STANLEY 2.875% 1/25/14

     597,018     
  226,000      

MORGAN STANLEY 2.875% 7/28/14

     233,736     
  561,000      

MORGAN STANLEY 3.45% 11/2/15

     587,636     
  610,000      

MORGAN STANLEY 4% 7/24/15

     648,828     
  1,345,000      

MORGAN STANLEY 4.1% 1/26/15

     1,425,447     
  720,000      

MORGAN STANLEY 6% 5/13/14

     768,218     
  601,262      

MSBAM 2012-C5 A1 .916% 8/45

     604,923     
  1,040,000      

MSBAM 2012-C5 A2 1.972% 8/45

     1,080,006     
  93,500      

MSC 03-IQ4 A2 4.07% 5/40

     94,142     
  219,384      

MSC 03-T11 A4 5.15% 6/41

     223,233     
  45,542      

MVCOT 2006-2A A 5.417% 10/28

     45,713     
  17,598      

MVCOT 2006-2A B 5.467% 10/28

     17,654     
  7,999      

MVCOT 2006-2A C 5.766% 10/28

     8,022     

 

 

36        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
  920,000      

NALT 2 11-A ABS 1.04% 8/15/14

       $                  923,327     
  217,392      

NALT 2010-B A3 1% 12/15/13

     217,654     
  280,000      

NALT 2010-B A4 1.27% 10/16

     280,966     
  460,000      

NALT 2011-B A3 0.92% 2/15

     462,041     
  510,000      

NAROT 2011-A A3 1.18% 2/15

     512,620     
  450,000      

NAROT 2011-B A3 0.87% 2/16

     453,341     
  630,000      

NATIONAL AUSTR 1.6% 8/07/15

     643,446     
  630,000      

NATIONAL AUSTR NY BR 2% 3/9/15

     648,949     
  810,000      

NCUA GTD NTS MA 1.4% 6/12/15

     828,522     
  188,614      

NEF 2005-1 A5 4.74% 10/45

     183,699     
  1,590,000      

NEW YORK LIFE 1.3% 10/17 144A

     1,599,198     
  910,000      

NORDEA BK AG 1.75 10/4/13 144A

     922,396     
  921,000      

NYLIFE GLB4.65% 5/9/13 144A

     940,075     
  625,000      

OCCIDENTAL PETE 1.75% 2/15/17

     644,826     
  595,000      

PEPSICO INC 7.9% 11/01/18

     810,442     
  290,000      

PG&E CORP 5.75% 4/01/14

     311,527     
  630,000      

PHILIP MORRIS 1.125% 8/21/17

     630,321     
  900,000      

PHILIP MORS INT 2.5% 5/16/16

     949,181     
  970,000      

PNC FUND CORP MTN 3% 5/19/14

     1,005,952     
  660,000      

PNCFUND MTN 3.625% 2/8/15

     708,143     
  660,000      

PRICOA GLB 1 MTN 5.45% 6/14 144A

     706,898     
  2,462,000      

RABOBANK NL UTREC MTN 1.85% 1/14

     2,516,365     
  989,000      

RABOBNK NEDRLD MTN 2.125% 10/15

     1,025,220     
  630,000      

RIO TINTO FIN 1.625% 8/21/17

     641,336     
  327,000      

ROYAL BK CANADA 1.125 1/15/14

     330,902     
  1,382,000      

ROYAL BK CANADA 1.45% 10/30/14

     1,409,189     
  982,000      

ROYAL BK CANADA 2.3% 7/20/16

     1,033,193     
  1,270,000      

ROYAL BK CDA GBL .8% 10/30/15

     1,270,154     
  1,190,000      

ROYAL BK SCOT 4.875% 8/14 144A

     1,275,231     
  754,000      

ROYAL BK SCOTLND 2.55% 9/18/15

     777,092     
  600,000      

SEMPRA ENERGY 2% 3/15/14

     612,611     
  1,200,000      

SHELL INTL FIN .625% 12/04/15

     1,204,723     
  950,000      

SHELL INTL FIN 1.125% 8/21/17

     957,973     
  630,000      

SHERWIN WILLIAM 1.35% 12/15/17

     628,943     
  650,000      

SIMON PROPERTY 2.15% 9/15/17

     678,100     
  142,000      

SIMON PROPERTY 2.8% 1/30/17

     151,461     
  128,487      

SLMA 2004-A B 3ML+58 6/33

     86,634     
  1,233,000      

SLMA 2012-7 A2 1ML+28 9/19

     1,232,212     
  482,000      

SOUTHERN CO 2.375% 9/15/15

     505,289     

 

 

37        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
  730,000      

STATE STREET 2.875% 3/07/16*

       $                  780,904     
  1,180,000      

SUMITOMO BK 1.95% 1/14/14 144A

     1,202,502     
  940,000      

SUMITOMO MITSUI BKG 1.8% 7/17

     965,231     
  1,213,000      

TORONTO DOM BK 2.5% 7/14/16

     1,289,856     
  1,835,000      

TORONTO DOMINI 2.375% 10/19/16

     1,936,437     
  610,000      

TOTAL CAP CDA 1.625% 1/28/14

     622,566     
  620,000      

TOTAL CAP INTL 1.55% 6/28/17

     629,420     
  638,000      

TOTAL CAPITAL SA 1.5% 2/17/17

     646,302     
  960,000      

TOYOTA MOTOR CRD 1.25% 10/5/17

     969,339     
  928,000      

TRANSCAPIT 5.67% 3/5/14 144A

     986,715     
  580,000      

UBS AG STAMFORD 2.25% 1/28/14

     593,921     
  555,607      

UBSBB 2012-C2 A1 1.006% 5/63

     560,801     
  400,000      

UBSBB 2012-C4 A1 .6728 12/45

     399,834     
  341,095      

UBSCM 2012-C1 A1 1.032% 5/45

     344,258     
  520,000      

UBSCM 2012-C1 A2 2.180% 5/45

     544,017     
  600,000      

UNION BK NA 3% 6/6/16

     636,260     
  184,000      

UNITEDHEALTH GRP .85% 10/15/15

     184,887     
  131,000      

UNITEDHEALTH GRP 1.4% 10/15/17

     131,508     
  475,000      

UNITEDHEALTH GRP 1.875% 11/16

     490,143     
  712,000      

USAA CAPITAL 1.05% 9/14 144A

     717,072     
  9,000,000      

USTN .25% 1/15/15

     9,004,812     
     19,000,000      

USTN .25% 9/15/15

     18,962,176     
  24,000,000      

USTN .250% 7/15/15

     23,973,026     
  10,000,000      

USTN .5% 7/31/17

     9,946,625     
  10,000,000      

USTN .750% 6/30/17

     10,047,402     
  31,789,000      

USTN .875% 11/30/16

     32,228,275     
  24,515,000      

USTN .875% 4/30/17

     24,825,034     
  34,347,000      

USTN 1% 9/30/16

     35,055,280     
  28,234,000      

USTN 1.375% 11/30/15

     29,079,144     
  23,028,000      

USTN 1.75% 7/31/15

     24,026,839     
  6,044,000      

USTN 1.875% 6/30/15

     6,276,575     
  10,500,000      

USTN 2.375% 10/31/14

     10,946,136     
  7,653,000      

USTN 2.5% 3/31/15

     8,080,048     
  15,717,000      

USTN 2.5% 4/30/15

     16,578,330     
  10,060,000      

USTN 3.125% 10/31/16

     11,102,307     
  1,472,555      

VALET 2011-1 A3 1.22% 6/15

     1,480,378     
  426,089      

VALET 2012-1 A2 0.61% 10/14

     426,572     
  630,000      

VERIZON COMM 1.1% 11/01/17

     627,973     
  310,000      

VODAFONE GRP PLC 4.15% 6/10/14

     326,000     

 

 

38        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Synthetic Investment Contracts (continued)       
  630,000      

VOLKSWAGEN 1.6% 11/20/17 144A

       $                  629,850     
  610,000      

VOLKSWAGEN 2.375% 3/22/17 144A

     632,071     
  1,110,000      

VW INTL FIN NV 1.625% 3/15 144A

     1,130,101     
  111,925      

VWALT 2010-A A3 0.99% 11/13

     112,013     
  200,000      

VWALT 2010-A A4 1.18% 10/15

     200,297     
  159,213      

VWALT 2011-A A2 1% 2/14

     159,435     
  751,000      

WAL MART STORES 2.25% 7/08/15

     789,914     
  590,000      

WAL MART STORES 2.8% 4/15/16

     632,559     
  99,302      

WBCMT 05-C16 APB 4.692% 10/41

     101,733     
  695,661      

WBCMT 2003-C9 A4 5.012% 12/35

     717,315     
  1,080,000      

WBCMT 2006-C23 A5 CSTR 1/45

     1,226,162     
  290,000      

WBCMT 2006-C25 A5 CSTR 5/43

     335,472     
     12,822,503      

WBCMT 2007-C30 XP CSTR 12/43

     80,738     
  480,954      

WBCMT 2007-C31A A2 5.421% 4/47

     496,836     
  183,000      

WELLPOINT INC 1.25% 9/10/15

     185,138     
  331,000      

WELLPOINT INC 1.875% 1/15/18

     336,896     
  1,428,000      

WELLS FARGO & CO 1.25% 2/13/15

     1,448,144     
  1,567,000      

WELLS FARGO&COM 3.676% 6/15/16

     1,710,611     
  1,626,000      

WESTPAC BANKING 1.125% 9/25/15

     1,645,808     
  1,129,000      

WESTPAC BANKING CRP 2% 8/14/17

     1,171,124     
  1,292,000      

WESTPAC BK CORP 1.85% 12/09/13

     1,312,317     
  167,045      

WFRBS 2011-C5 A1 1.456% 11/44

     169,765     
  345,073      

WFRBS 2012-C8 A1 .864% 8/45

     346,879     
  580,000      

WFRBS 2012-C8 A2 1.881% 8/45

     598,864     
  510,000      

WOART 2011-A A3 1.49% 10/14

     513,054     
  810,000      

WOART 2012-A A3 0.64% 2/17

     812,044     
  420,000      

WOLS 2012-A A3 0.93% 11/15

     423,037     
  540,000      

YALE UNIV MTN 2.9% 10/15/14

     566,774     
  

Total Wrap Rebid Value

     809,602     
     

 

 

 
  

Total Synthetic Investment Contracts

       $           625,698,785     
  

Mutual Funds

  
  

Fidelity BrokerageLink*

       $           220,477,716     
  4,084,395      

Dodge & Cox Stock Fund*

     497,887,690     
  4,064,330      

DFA Emerging Markets Core Equity Portfolio Institutional Class Fund*

     82,912,338     
  6,832,100      

Manning & Napier Overseas Fund*

     159,256,262     
     

 

 

 
  

Total Mutual Funds

       $           960,534,006     

 

 

39        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       U.S. Government and Agency Securities       
       United States Treasury Notes       
  6,100,000      

USTN .125% 9/30/13

       $               6,098,335     
  2,300,000      

USTN .25% 10/31/13

     2,301,438     
  1,600,000      

USTN .25% 11/30/13

     1,600,938     
  7,700,000      

USTN .375% 6/30/13

     7,709,625     
  2,800,000      

USTN .75% 8/15/13

     2,810,391     
  3,900,000      

USTN 1.125% 6/15/13

     3,917,671     
  5,130,000      

USTN 1.625% 11/15/22

     5,068,729     
  12,516,000      

USTN 1.625% 8/15/22

     12,423,115     
  8,000,000      

USTN TII 1.75% 1/15/28

     11,443,721     
  1,060,000      

USTN TII 2% 1/15/26

     1,621,974     
  600,000      

USTN TII 2.375% 1/15/25

     994,433     
  1,100,000      

USTN TII 2.375% 1/15/27

     1,740,530     
  1,150,000      

USTN TII 2.5% 1/15/29

     1,767,393     
  100,000      

USTN TII 3.875% 4/15/29

     233,124     
     

 

 

 
  

Total United States Treasury Notes

       $             59,731,417     
  

United States Treasury Bonds

  
  33,300,000      

USTB 5.375% 2/15/31

       $             47,450,986     
     

 

 

 
  

Total United States Treasury Bonds

       $             47,450,986     
  

United States Treasury Bills

  
  114,000      

USTBILL 0% 7/25/13

       $                  113,918     
     

 

 

 
  

Total United States Treasury Bills

       $                  113,918     
  

Federal Agency Obligations

  
  

Federal National Mortgage Association

  
  5,000,000      

FNMA         3.50% 1/43 #TBA

       $               5,329,688     
  82,714      

FNMA         3.50% 3/37 #AB4745

     88,165     
     (41,000,000)      

FNMA         4.00% 1/43 #TBA

     (43,937,265)    
  46,000,000      

FNMA         4.00% 1/43 #TBA

     49,295,468     
  41,000,000      

FNMA         4.00% 2/41 #TBA

     43,905,235     
  21,000,000      

FNMA         4.50% 1/41 #TBA

     22,686,563     
  1,771,189      

FNMA         4.50% 4/41 #AL0215

     1,941,044     
  296,243      

FNMA         4.50% 9/41 #AB3517

     320,440     
  (2,000,000)      

FNMA         5.00% 1/41 #TBA

     (2,166,406)    
  162,914      

FNMA         5.00% 4/41 #AI0511

     181,369     
  243,446      

FNMA         5.00% 5/41 #AI1863

     271,024     
  1,047,401      

FNMA         5.00% 5/41 #AI1892

     1,166,052     

 

 

40        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       U.S. Government and Agency Securities (continued)       
       Federal Agency Obligations (continued)       
       Federal National Mortgage Association (continued)       
  260,064      

FNMA         5.00% 5/41 #AI2433

       $                  289,524     
  177,953      

FNMA         5.00% 5/41 #AI2443

     198,112     
  178,333      

FNMA         5.00% 5/41 #AI2462

     198,535     
  146,445      

FNMA         5.00% 5/41 #AI2737

     163,034     
  91,831      

FNMA         5.00% 6/41 #AI4261

     102,234     
  867,932      

FNMA         5.00% 11/40 #AL0476

     958,386     
  2,435,375      

FNMA         5.50% #AL0484 6/41

     2,642,001     
  2,010,983      

FNMA         5.50% #AL0520 6/41

     2,181,603     
  326,025      

FNMA         5.50% 8/38 #995072

     354,196     
  123,207      

FNMA         5.50% 11/36 #745959

     133,660     
  40,942      

FNMA         6.00% 5/35 #821192

     45,275     
  47,482      

FNMA         6.00% 9/37 #952504

     51,987     
  26,979      

FNMA         6.00% 10/35 #745000

     29,774     
  23,715      

FNMA         6.50% 1/37 #897910

     26,391     
  30,232      

FNMA         6.50% 5/36 #895817

     33,690     
  86,131      

FNMA         6.50% 8/36 #745744

     95,948     
  64,654      

FNMA         6.50% 9/36 #897131

     72,038     
  1,041,595      

FNMA         6.50% 10/41 #AL0814

     1,158,775     
  856,960      

FNMA         6.50% 10/41 #AL0886

     970,382     
  815,517      

FNMA         6.50% 10/41 #AL0885

     908,603     
     18,000,000      

FNMA 15YR 3.00% 1/27 #TBA

     18,995,625     
  222,854      

FNMA 20YR 4.50% 4/31 #MA0706

     241,405     
  738,198      

FNMA 20YR 4.50% 5/31 #MA0734

     799,648     
  220,127      

FNMA 20YR 4.50% 6/31 #MA0776

     238,451     
  690,606      

FNMA 20YR 3.50% 12/31 #MA0919

     736,116     
  364,873      

FNMA ARM 5.51% 2/37 #913990

     383,711     
  148,888      

FNR 11-15 AB 9.75% 8/19

     169,604     
  187,154      

FNR 2004-38 FK 1ML+35 5/34

     187,511     
  450,636      

FNR 2010-110 AE 9.75% 11/18

     520,533     
  473,545      

FNR 2010-118 YB IO INV 10/40

     78,219     
  616,083      

FNR 2011-63 SW IO INV 7/41

     95,321     
  340,420      

FNS 390 C3 IO 6% 7/38

     40,512     
  183,087      

FNS 407 40 0 1/38

     26,537     
  366,156      

FNS 407 41 IO 6% 1/38

     53,757     
  50,373      

FNS 407 C22 IO 1/39

     5,536     
     

 

 

 
  

Total Federal National Mortgage Association

       $           112,268,011     

 

 

41        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       U.S. Government and Agency Securities (continued)       
       Federal Agency Obligations (continued)       
       Government National Mortgage Association       
  125,392      

GNII         5.00% 9/40 #004802

       $                  137,676     
  124,850      

GNII         6.00% 11/40 #004871

     140,085     
  282,619      

GNII II     4.50% 1/41 #004946

     310,273     
     4,206,719      

GNII II     4.50% 3/41 #004978

     4,618,353     
  144,053      

GNII II     4.50% 4/41 #005017

     158,149     
  74,545      

GNII II     4.50% 7/40 #004923

     81,839     
  75,484      

GNII II     4.50% 11/40 #004854

     82,870     
  229,774      

GNII II     4.50% 12/40 #004883

     252,258     
  64,053      

GNII II     5.00% 7/40 #004747

     70,834     
  653,670      

GNII II     5.00% 8/40 #004772

     717,709     
  28,873      

GNII II     6.00% 3/40 #004660

     32,270     
  617,790      

GNII II     6.00% 8/40 #004774

     691,829     
  961,665      

GNII II     6.00% 10/40 #004837

     1,079,018     
  132,795      

GNII II     6.00% 11/39 #004580

     148,419     
  294,740      

GNII II     6.50% 10/37 #004040

     331,134     
  256,728      

GNMA II     5.00% 7/40 #783050

     283,906     
  81,961      

GNR 10-116 JS -1ML+605 12/39

     12,205     
  341,651      

GNR 11-70 BS -1ML+670 IO 12/36

     39,120     
  130,484      

GNR 2005-13 SD -1ML+680 2/35

     23,359     
  157,204      

GNR 2005-81 SD -1ML+630 12/34

     15,180     
  411,146      

GNR 2006-47 SA 1ML+680 8/36

     97,239     
  664,292      

GNR 2009-106 SU IO INV 5/37

     87,349     
  185,959      

GNR 2009-45 AI IO 1ML+596 4/39

     21,142     
  547,520      

GNR 2009-61 SA 1ML+670 8/39

     83,610     
  365,329      

GNR 2009-61 WQ 1ML+625 11/35

     58,530     
  141,904      

GNR 2009-68 SL 1ML+675 4/39

     16,623     
  1,757,286      

GNR 2009-HO1 FA 1.4% 11/59

     1,813,347     
  239,212      

GNR 2010-107 SG -1ML+615 2/38

     29,822     
  142,961      

GNR 2010-109 SB -1ML+660 8/40

     28,147     
  689,656      

GNR 2010-115 SP -1ML+540 9/40

     91,348     
  1,182,606      

GNR 2010-117 PS 1ML+600 10/39

     162,697     
  499,921      

GNR 2010-14 SC -1ML+480 8/35

     76,627     
  497,521      

GNR 2010-146 GS IO ML+610 6/39

     72,210     
  292,771      

GNR 2010-147 S -1ML+665 11/40

     58,817     
  304,845      

GNR 2010-151 SM -1ML+608 11/40

     47,839     
  314,635      

GNR 2010-151SA IO ML+605 11/40

     53,311     
  412,958      

GNR 2010-160 SW 1ML+655 10/38

     62,972     

 

 

42        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       U.S. Government and Agency Securities (continued)       
       Federal Agency Obligations (continued)       
       Government National Mortgage Association (continued)       
  287,415      

GNR 2010-3 MS IO 1ML+655 11/38

       $                    39,815     
  214,175      

GNR 2010-31 GS 1ML+650 3/39

     33,755     
  82,294      

GNR 2010-39 SP -1ML+655 11/38

     10,317     
  119,820      

GNR 2010-42 BS -1ML+648 4/40

     21,390     
  119,820      

GNR 2010-47 AS -1ML+644 4/40

     20,376     
  245,694      

GNR 2010-47 VS -1ML+625 11/37

     34,428     
     1,143,549      

GNR 2010-50 QS 1ML+655 12/38

     180,813     
  374,713      

GNR 2010-57 QS -1ML+650 5/40

     67,603     
  619,849      

GNR 2010-60 S -1ML+650 5/40

     126,477     
  660,282      

GNR 2010-62 SB -1ML+575 5/40

     97,438     
  845,422      

GNR 2010-68 SD -1ML+658 6/40

     141,308     
  325,445      

GNR 2010-69 SP -1ML+665 6/38

     37,828     
  123,720      

GNR 2010-76 SH -1ML+650 5/40

     22,195     
  191,460      

GNR 2010-85 HS IO 1ML+665 1/40

     33,329     
  120,614      

GNR 2010-85 JS -1ML+657 4/40

     21,923     
  391,498      

GNR 2010-87 SK IML+650 7/40

     64,203     
  789,100      

GNR 2010-H010 FC 1ML+100 5/60

     811,148     
  1,417,534      

GNR 2010-H20 AF 1ML+33 10/60

     1,416,076     
  1,303,322      

GNR 2010-H24 FA 1ML+35 10/60

     1,303,985     
  1,037,012      

GNR 2011-11 SA -1ML+600 1/41

     155,816     
  108,077      

GNR 2011-32 S IO -1ML+600 3/41

     13,036     
  278,117      

GNR 2011-4 PS -1ML+618 9/40

     40,807     
  721,166      

GNR 2011-40 SA -1ML+613 2/36

     94,494     
  449,666      

GNR 2011-81 SA -1ML+540 6/41

     77,079     
  378,116      

GNR 2011-H09 AF IML+50 3/61

     380,977     
     

 

 

 
  

Total Government National Mortgage Association

       $             17,334,732     
  

Freddie Mac

  
  3,730,947      

FHMS K006 AX1 CSTR 1/20

       $                  222,032     
  1,097,396      

FHMS K007 X1 CSTR 4/20

     73,609     
  1,162,631      

FHMS K008 X1 CSTR 6/25/20

     109,313     
  1,181,513      

FHMS K009 X1 CSTR 8/20

     97,532     
  4,380,035      

FHMS K014 X1 IO CSTR 4/21

     367,292     
  444,170      

FHMS K702 X1 CSTR 2/18

     30,261     
  2,586,152      

FHMS K703 X1 CSTR 5/18

     249,227     
  1,541,423      

FHMS KAIV X1 CSTR 6/46

     131,642     
  99,833      

FHR 2808 FT 1ML+35 4/33

     99,924     

 

 

43        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

   Shares or
   Units
     Description    Current Value  
       U.S. Government and Agency Securities (continued)       
       Federal Agency Obligations (continued)       
       Freddie Mac (continued)       
  100,000      

FHR 3738 BP 4% 12/38

       $                  108,966     
  600,000      

FHR 3754 MB 4% 1/39

     659,418     
  600,000      

FHR 3871 JB 5.5% 6/41

     699,475     
     

 

 

 
  

Total Freddie Mac

       $               2,848,691     
  

Federal Home Loan Mortgage Corporation

  
  2,362,591      

FHLG         5.00% 3/38 #A74793

       $               2,541,446     
  134,854      

FHLG         5.50% 11/35 #A39302

     146,370     
  766,132      

FHLG         5.50% 12/38 #G06172

     826,764     
  1,991,970      

FHLG         6.00% 6/38 #G04715

     2,167,668     
  3,600,473      

FHLG         6.00% 11/39 #G06409

     3,918,046     
  251,530      

FHLG         6.50% 9/39 #G06669

     279,119     
  55,437      

FHLM ARM     5.65% 9/37 #1G3704

     57,805     
  54,612      

FHLM ARM     5.84% 2/37 #1N1447

     57,784     
  142,785      

FHLM ARM     5.95% 5/37 #1N1582

     150,216     
  146,933      

FHLM ARM     6.03% 5/37 #1N1463

     157,999     
  200,517      

FHLM ARM     4.433% 7/35 #1B3925

     211,783     
  9,729,000      

FHLMCDN 0% 4/23/13

     9,726,899     
     

 

 

 
  

Total Federal Home Loan Mortgage Corporation

       $             20,241,899     
     

 

 

 
  

Total U.S. Government and Agency Securities

       $           259,989,654     
  

Other Fixed Income Securities

  
  

Foreign Governmental Obligations

  
  90,000      

MEXICO GOV 6.05% 1/11/40

       $                  120,825     
     12,940,000      

MEXICO GOVT 8% 6/11/20

     1,174,748     
  411,000      

MEXICO GVT GLB 6.75% 9/27/34 EC

     591,840     
  931,550      

RUSSIAN FD STP CPN 3/31/30REGS

     1,192,384     
  700,000      

TOKYO ELECTRIC 4.5% 3/24/14

     937,159     
     

 

 

 
  

Total Foreign Governmental Obligations

       $               4,016,956     
  

Foreign Obligations

  
  169,000      

AMERICA MOVIL 5.625% 11/15/17

       $                  202,335     
  1,000,000      

BANCO BRASIL 3.875% 10/10/22

     1,007,500     
  190,000      

BANK TOKYO MIT 3.85% 1/15 144A

     200,759     
  800,000      

BBVA US SENIOR 3.25% 5/16/14

     800,714     

 

 

44        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Fixed Income Securities (continued)       
       Foreign Obligations (continued)       
  680,000      

BP CAP MARKETS 3.125% 10/1/15

       $                  721,796     
  130,000      

COMMNWLTH BNK AUST 5 10/19 144

     150,950     
     1,300,000      

COMUNIDAD DE MA 4.2% 9/24/14

     1,657,290     
  900,000      

COMUNIDAD EMTN 4.305% 3/6/14

     1,178,570     
  300,000      

COMWLTH BK AUS 3.75% 10/14 144A

     315,390     
  202,000      

DEUTSCHE TK GLBL 5.75% 3/23/16

     230,107     
  945,000      

DIAGEO CPTL PLC 4.828% 7/15/20

     1,111,512     
  800,000      

DNB BK ASA MTN 3.2% 4/17 144A

     851,776     
  200,000      

DORIC NIMROD 5.125% 11/24 144A

     209,000     
  300,000      

EKSPORTFINAN AS MTN 1.875% 4/13

     299,978     
  1,000,000      

EKSPORTFINANS 1.6% 3/20/14

     11,177     
  200,000      

EKSPORTFINANS 2.375% 5/25/16

     190,801     
  200,000      

EKSPORTFINANS 5.5% 5/25/16 GLB

     208,187     
  200,000      

EKSPORTFINANS ASA US3M+20 4/13

     199,055     
  100,000      

EKSPORTFINANS GLB MTN 5.5% 6/17

     105,243     
  100,000      

EKSPORTFINANS MTN 3% 11/17/14

     99,207     
  800,000      

EKSPORTFINS A/S MTN 2% 9/15/15

     765,733     
  2,100,000      

EXP-IMP BANK KOREA 5% 4/11/22

     2,445,030     
  400,000      

EXPORT IMP BK KORE MTN 4% 1/21

     429,669     
  400,000      

EXPORT IMP KOR 1.25% 11/20/15

     400,665     
  700,000      

EXPORT IMP KORE 4.375% 9/15/21

     772,631     
  202,000      

FRENSENIUS MED 6.875% 7/15/17

     230,280     
  411,000      

GLITNIR 3ML+273.25 6/16 144A

     5,138     
  279,000      

GLITNIR BK MTN 6.33% 7/11 144A

     76,028     
  120,000      

HBOS PLC 5.25% 2/21/17 144A

     137,188     
  160,000      

ICICI BK 6.375%/VAR 4/22 REGS

     161,400     
  244,000      

ICICI BK LTD 6.375%/VAR4/22 144

     246,135     
  90,000      

INTELSAT JACKSON 8.5% 11/01/19

     100,575     
  94,000      

KANSAS CTY SOUT 12.5% 4/1/16

     102,460     
  120,000      

KANSAS CTY SOUT 6.125% 6/15/21

     135,600     
  120,000      

KAUPTHING BK 5.75% 10/4/11 144A

     29,400     
  1,177,000      

KAUPTHING BK 7.625% 2/28/15144

     288,365     
  130,000      

KAUPTHING MTN 7.125% 5/19 144A

     1,625     
  1,100,000      

KFW 3.5% 3/10/14

     1,141,052     
  212,000      

KPN NV GLBL 8.375% 10/01/30

     279,232     
  641,000      

LANDSBANK IS MTN 6.1% 8/11 144A

     38,460     
  660,000      

NORDEA BK 4.875% 5/13/21 144A

     707,345     
  430,000      

NORDEA BK MTN 3.7% 11/14 144A

     451,393     

 

 

45        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Fixed Income Securities (continued)       
       Foreign Obligations (continued)       
  20,000      

NOVELIS INC 8.75% 12/15/20

       $                    22,400     
  200,000      

PERNOD RICARD 4.45% 1/22 144A

     220,963     
  20,000      

POTASH CORP 4.875% 3/30/20

     22,971     
  420,000      

RBS 3.95% 9/21/15

     445,938     
  300,000      

RBS NV FRN 3ML+70 3/09/15

     284,234     
     2,920,000      

RENTENBANK 2.5% 2/15/16

     3,091,124     
  17,000      

RIO TINTO FIN 6.5% 7/15/18

     21,210     
  63,000      

ROGERS CABLE 6.75% 3/15/15

     71,008     
  30,000      

ROGERS COMMUNIC 6.8% 8/15/18

     37,934     
  70,000      

ROYAL BK SC 7.648% PERP T1

     70,700     
  90,000      

ROYAL BK SCOTLAND 5% 10/1/14

     92,476     
  520,000      

ROYAL BK SCTLND 6.4% 10/21/19

     613,968     
  80,000      

ROYAL BK SCTLND GLB 5% 11/12/13

     81,396     
  110,000      

ROYAL BK SCTLND GLB 5.05% 1/8/15

     113,827     
  600,000      

SHELL INTL FIN 4.375% 3/20

     695,357     
  280,000      

SHELL INTL FIN 6.375% 12/15/38

     392,293     
  10,000      

SUMITOMO BK 3.1% 1/14/16 144A

     10,661     
  30,000      

SUMITOMO BKG 3.15% 7/22/15 144A

     31,595     
  100,000      

TNK BP FI MTN 6.625% 3/17 144A

     113,750     
  400,000      

TRANSOCEAN INC 5.25% 3/15/13

     403,513     
  400,000      

UK GILT 1.75% 9/7/22

     646,102     
  4,900,000      

UK GILT 4% 3/07/22

     9,543,806     
  200,000      

UNITED BUSNS 5.75% 11/20 144A

     210,801     
  110,000      

UPCB FIN III 6.625% 7/20 144A

     117,700     
  320,000      

WPP FIN UK GTD SR NT 8% 9/15/14

     353,869     
     

 

 

 
  

Total Foreign Obligations

       $             36,406,347     
  

Domestic Obligations

  
  18,000      

AES CORP 8% 6/1/20

       $                    20,700     
  160,000      

AIG 6.25% 87-37 HYBRD

     170,800     
  200,000      

AIG INTL 3.75% 11/30/13 144A

     205,166     
  260,000      

ALLY FINANCIAL INC 8% 3/15/20

     318,500     
  780,000      

ALLY FINL INC 7.5% 9/15/20

     941,850     
  380,000      

ALTRIA GROUP INC 4.75% 5/05/21

     430,223     
  260,000      

ALTRIA GROUP INC 8.5% 11/13

     277,020     
  101,000      

ALTRIA GROUP INC 9.25% 8/6/19

     140,402     
  84,000      

AMERADA HES CO 7.875% 10/01/29

     116,561     

 

 

46        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Fixed Income Securities (continued)       
       Foreign Obligations (continued)       
  142,000      

AMERADA HESS CO 7.3% 8/15/31

       $                  190,824     
  100,000      

AMERICA MOVIL 5% 3/30/20

     116,247     
  49,000      

AMERICAN EXP MTN 5.875% 5/13

     49,885     
  322,000      

AMEX 2.65% 12/02/22 144A

     320,329     
  353,000      

AMEX 6.8% 9/01/66

     379,034     
  115,000      

ANADARKO PETRO 6.375% 9/15/17

     137,321     
  420,000      

ANHEUSER BUSCH 5% 4/15/20

     502,163     
  360,000      

ANHEUSER BUSCH 5.375% 1/15/20

     437,764     
  341,000      

APACHE CORP 6% 9/15/13

     353,960     
  20,000      

ARCH COAL INC 7% 6/15/19

     18,600     
  30,000      

AT&T INC 3.875% 8/15/21

     33,401     
  167,000      

AT&T INC 5.5% 2/01/18

     198,874     
  14,000      

BAC CAP XIV 5.63%/VR PERP

     11,832     
  670,000      

BANK AMER 4.5% 4/1/15

     714,124     
     1,100,000      

BANK AMERICA CORP 3ML+142 1/14

     1,109,186     
  600,000      

BANK OF AMER MTN 7.625% 6/1/19

     767,743     
  580,000      

BANK OF AMERICA 5.625% 7/01/20

     687,062     
  725,000      

BANK OF AMERICA 6% 9/01/17

     848,705     
  200,000      

BANKAMER 5.75% 12/1/17

     233,038     
  120,000      

BERK HATH INC 3.2% 2/11/15

     126,326     
  190,000      

CALPINE CONSTR 8% 6/01/16 144A

     201,875     
  324,000      

CALPINE CORP 7.5% 2/15/21 144A

     358,020     
  171,000      

CALPINE CORP 7.875% 1/23 144A

     193,230     
  495,000      

CATERPILR FIN SERV 6.2% 9/30/13

     516,368     
  1,220,000      

CCO HLDGS/CAP CORP 7% 1/15/19

     1,308,450     
  40,000      

CF INDUS HLDS 7.125% 5/1/20

     50,342     
  410,000      

CITIGROUP 3.953% 6/15/16

     441,194     
  2,083,000      

CITIGROUP 5% 9/15/14

     2,191,499     
  650,000      

CITIGROUP 5.375% 8/09/20

     765,309     
  300,000      

CITIGROUP 5.875% 5/29/37

     360,058     
  650,000      

CITIGROUP 6% 12/13/13

     681,098     
  200,000      

CITIGROUP 6.375% 8/12/14

     216,130     
  344,000      

CITIGROUP 6.875% 3/05/38

     451,695     
  300,000      

CITIGROUP MTN 6.01% 1/15/15

     327,796     
  160,000      

CITIGROUP MTN 5.5% 10/15/14

     171,655     
  20,000      

COMCAST CORP 6.3% 11/15/17

     24,527     
  697,000      

COMCAST CORP 6.5% 1/15/15

     776,606     
  30,000      

COMCAST CORP 6.95% 8/15/37

     40,578     

 

 

47        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Fixed Income Securities (continued)       
       Foreign Obligations (continued)       
  347,000      

CONOCO 6.95% 4/15/29

       $                  482,785     
  250,000      

CONOCOPHILLIPS 6% 1/15/20

     316,994     
  50,000      

CONSOL ENERGY 6.375% 3/01/21WI

     51,125     
  170,000      

CONSOL ENERGY 8.25% 4/01/20

     184,875     
  450,000      

CONTINENTL AIR 6.75% 9/15 144A

     470,250     
  390,000      

COUNTRYWIDE FIN 6.25% 5/15/16

     428,001     
  25,000      

CRICKET COMM 7.75% 5/15/16 WI

     26,469     
  358,444      

CVS CAREMARK 6.943% 1/10/30

     451,192     
  450,000      

DAIMLER FIN 2.625% 9/15/16144A

     467,424     
  150,000      

DAIMLER FINANCE 3.875% 9/21 144

     161,648     
  30,000      

DEVON ENERGY CO 5.6% 7/15/41

     35,533     
  320,000      

DISH DBS CORP 6.75% 6/01/21

     364,800     
  125,000      

DISH DBS CORP 7.875% 9/01/19

     148,125     
     1,280,000      

DNB BOLIGKED AS 2.9% 3/16 144A

     1,360,870     
  260,000      

DOMINION RESOUR 8.875% 1/15/19

     355,611     
  105,000      

ECHOSTAR DBS 7.75% 5/31/15

     117,600     
  7,000      

ECHOSTAR DBS CORP 7% 10/01/13

     7,280     
  6,000      

EDISON MISSION 7.625% 5/27

     3,180     
  613,000      

EL PASO CORP 7% 6/15/17

     700,253     
  125,000      

EL PASO ENERGY MTN 7.8% 8/1/31

     145,744     
  91,000      

EL PASO ENGY MTN 7.75% 1/15/32

     106,924     
  460,000      

EL PASO NAT GAS 8.375% 6/15/32

     653,546     
  31,000      

ENERGY FUT CO 10% 12/01/20

     34,875     
  10,000      

ENTERPRISE PRD 5.7% 2/15/42

     11,678     
  500,000      

ENTERPRISE PRD 9.75% 1/31/14

     547,050     
  430,000      

ENTERPRISE PROD 4.05% 2/15/22

     474,795     
  300,000      

ENTERPRISE PROD 5.2% 9/1/20

     357,760     
  18,000      

EXELON CORP 5.625% 6/15/35

     20,045     
  1,786,000      

FARMER MAC 7-1 5.125% 4/17 144A

     2,097,539     
  941,000      

FIRSTENERGY GL 7.375% 11/15/31C

     1,212,793     
  60,000      

FMG RES AUG LTD 6.375% 2/16 144

     62,100     
  506,000      

FORD MOTOR CRD LLC 12% 5/15/15

     621,115     
  2,300,000      

FORD MTR CR LLC 4.207% 4/16

     2,453,217     
  1,100,000      

FORD MTR CR LLC 4.25% 2/03/17

     1,178,420     
  200,000      

FORD MTR CR LLC 5.875% 8/2/21

     232,908     
  200,000      

FORD MTR CR LLC 8.125% 1/15/20

     256,275     
  100,000      

FORD MTR CREDIT CO 8% 12/15/16

     120,747     
  1,040,000      

GOLDMAN SACHS 5.375% 3/15/20

     1,190,860     

 

 

48        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Fixed Income Securities (continued)       
       Foreign Obligations (continued)       
  21,000      

GOLDMAN SACHS 5.793%/VR PERP

       $                    16,403     
  100,000      

GOLDMAN SACHS FRN 5/18/15

     129,366     
  10,000      

GOLDMAN SACHS GLB 7.5% 2/15/19

     12,574     
  600,000      

GOLDMAN SACHS GROUP 6% 5/1/14

     638,549     
  780,000      

GS GRP INC MTN 6.25% 2/01/41

     954,354     
  110,000      

GSINC 5.25% 7/27/21

     125,274     
     1,000,000      

HCA HLDGS INC 6.25% 2/15/21

     1,030,000     
  277,000      

HCA INC 5.75% 3/15/14

     289,465     
  174,000      

HCA INC 6.25% 2/15/13

     174,870     
  230,000      

HCA INC 6.5% 2/15/20

     258,750     
  390,000      

HERTZ 2009-2A A2 5.29% 3/16

     424,210     
  370,000      

HERTZ 2010-1A A1 2.6% 2/15

     376,451     
  480,000      

HESS CORP 8.125% 2/15/19

     631,285     
  660,000      

HSBC FINANCE CO 6.676% 1/21

     782,306     
  100,000      

ILFC ECAP TR II 6.25% 12/65 144

     85,500     
  170,000      

ILFC MTN 6.5% 9/1/14 144A

     181,475     
  860,000      

ILFC MTN 6.75% 9/1/16 144A

     965,350     
  10,000      

INTELSAT JH SA 7.25% 10/15/20

     10,875     
  9,000      

INTELSAT JH SA 7.25% 4/01/19

     9,675     
  320,000      

JP MORGAN CHASE 6.125% 6/27/17

     373,730     
  200,000      

JPM 4.375% 21-16 LT2

     279,150     
  200,000      

JPM 4.625% 17-12 LT2

     255,680     
  220,000      

JPMC CO 4.25% 10/15/20

     244,439     
  700,000      

JPMORGAN CHAS 6% 10/1/17

     828,409     
  890,000      

JPMORGAN CHASE 3.15% 7/05/16

     942,660     
  70,000      

JPMORGAN CHASE 4.35% 8/15/21

     78,197     
  502,000      

JPMORGAN CHASE 5.15% 10/01/15

     551,729     
  664,000      

KERR-MCGEE CORP 7.875% 9/15/31

     880,173     
  370,000      

KERR-MCGEE GLBL 6.95% 7/1/24

     468,770     
  210,000      

KEY ENERGY SRVS 6.75% 3/1/21

     210,000     
  60,000      

KINDER MORGAN EN 6.85% 2/15/20

     75,534     
  204,000      

KINDER MORGAN ENER 6% 2/1/17

     238,203     
  413,000      

KRAFT FOODS GR 5.375% 2/20 144A

     495,474     
  950,000      

KY HIGHER ED ARCS TAXBLE A2 OT

     806,902     
  190,000      

MEDTRONIC INC MTN 4.45% 3/15/20

     220,512     
  850,000      

MERRILL LYN CO FRN 1/31/14

     1,114,056     
  850,000      

MERRILL LYNCH 3ME+45 7/22/14

     1,110,672     
  280,000      

METLIFE INC 6.75% 6/1/16

     331,534     

 

 

49        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Fixed Income Securities (continued)       
       Foreign Obligations (continued)       
  801,000      

METLIFE INC GLB 6.4% 12/15/36

       $                  854,410     
  5,000      

MGM MIRAGE 10.375% 5/15/14

     5,669     
  35,000      

MGM MIRAGE INC 6.625% 7/15/15

     37,538     
  377,000      

MONDELEZ INTL INC 5.375% 2/20

     454,752     
  40,000      

NATL SEMICOND GLB 6.6% 6/15/17

     49,383     
  50,000      

NEWS AMER INC 4.5% 2/15/21

     57,067     
  21,000      

NEWS AMER INC 6.65% 11/37

     27,066     
  42,000      

NEWS AMERICA INC 6.2% 12/15/34

     50,744     
  30,000      

NOBLE ENERGY IN 8.25% 3/01/19

     39,291     
  250,000      

NORTHSTR ED FIN 2007-1 OT

     177,652     
  420,000      

OCCIDENTAL PETE 3.125% 2/15/22

     446,263     
     1,600,000      

PA HI ED SLR SR SUBER MM-1 OT

     1,502,887     
  400,000      

PA HI ED STUD ARS OT

     375,722     
  105,000      

PACIFIC GAS&ELEC 5.8% 3/1/37

     129,552     
  75,000      

PEPSICO INC 7.9% 11/01/18

     101,169     
  370,000      

PFIZER 6.2% 3/15/19

     467,323     
  210,000      

PG&E 6.05% 3/01/34

     269,895     
  105,000      

PG&E 8.25% 10/15/18

     142,905     
  30,000      

QEP RESOURCES 6.875% 3/01/21

     34,575     
  430,000      

RANGE RES CORP 6.75% 8/1/20

     466,550     
  150,000      

RAYTHEON 3.125% 10/15/20

     159,430     
  153,000      

REYNOLDS AMERN 6.75% 6/15/17

     184,707     
  40,000      

REYNOLDS GRP 6.875% 2/15/21

     43,100     
  270,000      

ROCHE HLDGS INC 6 3/19 144A

     335,844     
  279,000      

SBC COMM GLBL 5.1 9/15/14

     299,702     
  14,000      

SLM CORP MTN 5% 4/15/15

     14,757     
  84,000      

SLM CORP MTN 5.05% 11/14/14

     88,171     
  376,000      

SLM CORP MTN 5.625% 8/01/33

     348,740     
  63,000      

SOUTHRN NAT GAS 5.9% 4/1/17

     74,004     
  21,000      

SOUTHRN NAT GAS 8% 3/01/32

     29,945     
  300,000      

SOUTHWESTERN EN 4.1% 3/22 WI

     322,350     
  1,000      

STEEL DYN INC 6.75% 4/15

     1,013     
  480,000      

TEACHERS INS 6.85% 12/16/39144

     649,255     
  80,000      

TENET HEALTH 10% 5/01/18

     91,000     
  230,000      

TENET HEALTH 8.875% 7/1/19

     256,450     
  111,000      

TENET HEALTH 9.25% 2/01/15

     125,153     
  49,000      

TENN GAS PIPELI 7.625% 4/01/37

     69,384     
  160,000      

THERMO FISHER 3.6% 8/15/21

     169,988     

 

 

50        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Fixed Income Securities (continued)       
       Foreign Obligations (continued)       
  340,000      

UBS AG STAM 3.875% 1/15/15

       $                 359,244     
  350,000      

UBS AG STAMFORD 2.25% 1/28/14

     355,054     
  370,000      

UNITEDHEALTH GRP 6% 2/15/18

     450,196     
  14,000      

VERIZON COM INC 5.5% 2/15/18

     16,806     
  300,000      

VERIZON COMMUNC INC 6% 4/01/41

     390,414     
  370,000      

VERIZON WIRELESS 8.5% 11/15/18

     508,810     
     1,017,000      

WACHOVIA 5.25% 8/14 LT2

     1,084,468     
  90,000      

WASTE MANAGMENT 7.375% 5/15/29

     118,580     
  510,000      

WELLPOINT INC 7% 2/15/19

     634,166     
  28,000      

WELLPOINT INC GLB 5.875% 6/15/17

     33,222     
  105,000      

WILLIAMS COS 7.75% 6/15/31

     133,968     
  99,000      

WILLIAMS COS 7.875% 9/01/21

     126,720     
  13,000      

WILLIAMS COS 8.75% 3/15/32

     18,020     
  294,000      

WILLIAMS COS GLB 7.5% 1/15/31

     366,819     
  204,000      

WYETH 5.95% 4/01/37

     271,387     
     

 

 

 
  

Total Domestic Obligations

       $             67,270,312     
  

Mortgage Related Securities

  
  339,640      

ACCR 2003-3 A1 4.46% 12/33

       $                  324,934     
  573,711      

ACE 2006-SL3 A1 1ML+10 6/36

     109,203     
  300,000      

ACRE 10-ARTA A2FX 4.9543% 1/29

     347,113     
  220,000      

AESOP 2010-3A A 4.64% 5/16

     237,958     
  130,000      

AESOP 2010-5A A 3.15% 3/17 144A

     137,476     
  555,087      

AHM 2005-4 1A1 1ML+29 3/35

     439,971     
  431,557      

ARC 2004-1 A5 1ML+50 10/34

     386,592     
  1,059,000      

BACM 2005-6 A4 5.182% 9/47

     1,179,744     
  40,000      

BACM 2007-5 A3 5.62% 2/51

     42,181     
  453,526      

BALTA 2004-9 3A1 CSTR 9/34

     424,489     
  429,700      

BALTA 2005-2 2A4 CSTR 4/35

     356,849     
  199,618      

BAYV 2004-C A1 1ML+42 5/44

     193,282     
  926,063      

BFAT 2007-SR1A M2 1ML+90 3/37

     583,274     
  34,677      

BLACK 2005-1A A1A 1ML+25 6/17

     34,521     
  240,157      

BLUEM05-1A A1F 3ML+23.75 11/17

     237,530     
  223,985      

BSABS 05-SD4 2A1 1ML+40 12/42

     213,848     
  819,185      

BSABS 2005-AQ2 A3 1ML+36 9/35

     773,467     
  435,102      

BSABS 2005-CL1 A1 1ML+50 9/34

     357,933     
  553,785      

BSARM 2004-10 12A3 CSTR 1/35

     540,777     

 

 

51        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Fixed Income Securities (continued)       
       Mortgage Related Securities (continued)       
  106,695      

CMLTI 2005-HE2 A 1ML+40 5/35

       $                  104,717     
     1,319,137      

CWALT 05-36 2A1A 1ML+31 8/35

     836,494     
  644,697      

CWALT 2005-36 3A1 CSTR 8/35

     467,609     
  166,032      

CWALT 2005-61 1A1 1ML+26 12/35

     134,026     
  106,800      

CWALT 2006-OA1 2A1 1ML+21 3/46

     70,694     
  147,440      

CWHL 2004-23 A CSTR 11/34

     98,476     
  387,672      

CWHL 2006-HYB3 2A1A CSTR 6/36

     298,798     
  148,326      

DELTA AIR 6.821% 8/22

     165,562     
  162,634      

DMSI 2004-4 7AR2 1ML+45 6/34

     145,631     
  150,000      

EFCT 2004-1 A5 VAR 6/43

     131,902     
  304,825      

FFML 2004-FF3 M1 1ML+55 5/34

     265,361     
  73,329      

FHAMS 2006-FA8 1A8 0 2/37

     44,940     
  90,000      

FIRST SEC UT 9.35 1/10/23 144A

     103,573     
  260,000      

GECMC 2007-C1 A4 5.54% 12/49

     296,748     
  559,040      

GMACM 04VF1 A1 MBIA1ML+75 2/31

     529,854     
  616,353      

GSMPS 2005-RP1 1AF 1ML+35 1/35

     507,325     
  4,802,005      

GSMS 2011-GC3 X IO 3/44 144A

     241,622     
  234,786      

GSR 2005-AR5 2A3 CSTR 10/35

     201,654     
  298,179      

HVMLT 05-15 2A11 1ML+27 10/45

     235,054     
  967,217      

HVMLT 2004-5 2A6 CSTR 6/34

     950,407     
  444,873      

HVMLT 2006-13 A 1ML+18 11/46

     259,585     
  168,039      

IMSA 2006-1 1A2B 1ML+20 5/36

     90,647     
  447,371      

INDA 2007-AR7 1A1 CSTR 11/37

     398,266     
  1,100,872      

INDX 05-AR14 2A1A 1ML+30 7/35

     879,660     
  161,403      

INDX 2006-AR6 2A1A 1ML+20 6/47

     104,573     
  1,100,000      

ISAC 2010-1 A3 3ML+90 7/45

     1,085,051     
  4,897,754      

JPMCC 2011-C4 XA CSTR 7/46

     341,481     
  120,000      

JPMCC 2011-C5 A3 4.1712% 8/46

     136,516     
  400,000      

JPMMT 2004-A3 3A3 CSTR 7/34

     407,272     
  322,962      

KSLT 2003-A 1A2 3ML+26 10/25

     297,898     
  114,000      

LBUBS 2007-C1 A4 5.424% 2/40

     132,315     
  200,000      

LBUBS 2007-C6 A4 CSTR 7/40

     238,694     
  727,360      

LXS 2006-14N 1A1B 1ML+21 9/46

     461,229     
  317,417      

MARM 2005-1 7A1 CSTR 2/35

     282,031     
  332,855      

MARM 2006-2 3A1 CSTR 1/36

     310,805     
  731,764      

MARP 2005-2 1A1F 1ML+35 5/35

     620,466     
  300,346      

MLCC 2003-F A1 1ML+32 10/28

     280,060     
  1,000,000      

MLCFC 2007-6 A4 CSTR 3/51

     1,153,582     

 

 

52        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Fixed Income Securities (continued)       
       Mortgage Related Securities (continued)       
  160,889      

MLMI 2004-A3 4A3 CSTR 5/34

       $                    162,605     
  121,499      

MLMI 2006-A1 1A1 CSTR 3/36

     78,855     
     1,012,626      

MLMI 2007-SD1 A1 1ML+45 2/47

     524,580     
  655,000      

MLMT 2006-C1 A4 CSTR 5/39

     751,290     
  100,000      

MSC 2006-IQ11 A4 CSTR 10/42

     112,884     
  26,177      

MSM 2005-3AR 3A CSTR 7/35

     20,453     
  500,000      

NSLC 2004-2A A5C 1.09% 2/39

     424,686     
  196,991      

PRIME 2005-2 2A1 CSTR 10/32

     195,298     
  399,420      

RBSGC 2007-B 1A4 1ML+45 1/37

     235,412     
  337,576      

SACO 2005-WM3 A3 1ML+35 9/35

     137,939     
  571,474      

SAMI 2006-AR6 1A1 1ML+18 07/46

     377,635     
  56,500      

SAST 2002-3 M1 1ML+75 12/32

     53,254     
  252,741      

SAST 2003-3 M1 1ML+65 12/33

     203,203     
  300,000      

SLMA 2003-11 A6 3ML+29 12/25

     293,052     
  800,000      

SLMA 2004-3 A5 3ML+17 7/25/23

     792,123     
  79,733      

UAL PASS THRU ETC 9.75% 1/17

     91,693     
  678,817      

WAMU 05-AR15 A1A1 1ML+26 11/45

     617,321     
  559,042      

WAMU 05-AR15 A1A2 1ML+28 11/45

     506,949     
  269,676      

WAMU 05-AR17 A1A2 1ML+29 12/45

     239,113     
  1,061,414      

WAMU 06-AR14 1A3 CSTR 11/36

     858,734     
  3,400,097      

WAMU 2004-AR10 A1A 1ML+44 7/44

     3,078,373     
  292,425      

WAMU 2004-AR8 A1 1ML+42 6/44

     256,331     
  1,974,828      

WAMU 2005-AR18 1A3A CSTR 1/36

     1,836,628     
  622,049      

WAMU 2005-AR7 A4 CSTR 8/35

     564,544     
  106,406      

WAMU 2005-AR8 1A1A 1ML+27 7/45

     98,008     
  299,526      

WAMU 2005-AR9 A1A 1ML+32 7/45

     285,145     
  522,747      

WAMU 2007-HY4 4A1 CSTR 9/36

     439,794     
  913,811      

WFMBS 2006-AR11 A6 CSTR 8/36

     806,672     
  240,000      

WFRBS 2011-C4 A4 0 6/44

     284,547     
     

 

 

 
  

Total Mortgage Related Securities

       $             34,558,841     
  

Other Agency Obligations

  
  30,000      

BIRMINGHAM AL 5.5% 04/01/41

       $                    34,145     
  250,000      

CA ST 7.3% 10/01/39

     346,425     
  40,000      

CHICAGO OHARE 5.625% 01/01/35

     47,070     
  80,000      

CHICAGO OHARE TAXM 5.5% 1/31

     93,191     
  50,000      

CLARK CO NV PFC 5.25% 7/1/39

     55,812     

 

 

53        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Other Fixed Income Securities (continued)       
       Other Agency Obligations (continued)       
  80,000      

GA MEAG 6.655% 4/1/57

       $                    94,995     
  300,000      

IL ST 5.665% 03/01/18

     341,787     
  310,000      

IL ST 5.877% 03/01/19

     356,850     
  70,000      

LA CA AIRPT 5% 5/15/35

     79,483     
  50,000      

LA CA AIRPT 5.25% 5/15/39

     56,348     
  190,000      

LA CA DWAP TAXM 6.574% 7/01/45

     266,196     
  100,000      

LIBERTY GOLDMAN 5.25% 10/01/35

     116,571     
  50,000      

MARTA GA 5% 7/1/39

     56,457     
  150,000      

MUNICIPAL EC AT GA 6.637% 4/57

     179,177     
  20,000      

SANMATEO CA CCD 06B 5% 9/1/38

     22,308     
  330,000      

SANTA CL TRANS TAXM 5.876% 4/32

     403,511     
  240,000      

TVA 5.25% 9/15/39

     315,059     
  467,000      

TVA 5.98% 4/1/36

     654,520     
     

 

 

 
  

Total Other Agency Obligations

       $               3,519,905     
     

 

 

 
  

Total Other Fixed Income Securities

       $           145,772,361     
  

Cash, Cash Equivalents and Other Investments

  
  

Cash and Cash Equivalents

  
  

Cash

       $                 (591,468)    
  

Cash Collateral

     (1,752,000)    
     16,037,924      

Fidelity Institutional Money Market Portfolio*

     16,037,924     
  10,658,116      

State Street Bank Government Short Term Investment Fund*

     10,658,116     
  23,930,577      

State Street Bank Short Term Investment Fund*

     23,930,577     
     

 

 

 
  

Total Cash and Cash Equivalents

       $             48,283,149     
  

Swap Contracts

  
  5,600,000      

BAC-NA IRS BZDIOVR/8.86 1/2/17

       $                    79,562     
  100,000      

BARCLAY CDS IT GOVT 6/20/17 SW

     (6,270)    
  25,300,000      

BARCLAYS IRS CDI/10.115 1/15SW

     833,066     
  1,000,000      

BARCLAYS IRS CDI/9.01 1/15SWAP

     17,334     
  600,000      

BOA CDS IT GOVT SP 6/20/17 SWP

     (37,619)    
  6,200,000      

BOA CDX IG17 5Y BP/5 6/17 SWP

     (280,606)    
  3,200,000      

CITI CDS 3%/12R99TVS0 9/17 SWP

     349,788     
  3,000,000      

CITI CDX ITXEX517/5% 6/20/17

     (135,777)    
  5,900,000      

CITI IRS BBSW6M/4.75 6/22 SWAP

     470,487     
  800,000      

CITIBANK CDS NRG ENRGY 6/17 SP

     62,564     
  1,400,000      

CS CDX ITXEB517 6/20/17 SWAP

     (63,363)    

 

 

54        


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534            Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2012

 

 

   Shares or
   Units
     Description    Current Value  
       Cash, Cash Equivalents and Other Investments (continued)       
       Swap Contracts (continued)       
  700,000      

GS CDS 247025AE9/1% 12/20/17

       $                  (37,507)    
     11,600,000      

GS IRS FEDL01/.7825 07/10/16

     42,129     
  80,000      

HSBC 105756AL4/1% CDS 9/22

     (3,047)    
  900,000      

HSBC IRS BRL CETIP/10.135 1/15

     29,981     
  6,600,000      

JPMC IRS @BZDIOVR/8.18 1/2/17

     (7,296)    
  22,100,000      

JPMC IRS @BZDIOVR/8.21 1/2/17

     (12,253)    
  8,200,000      

UBSAG IRS 4.75/BBSW6M 6/22 SWP

     653,898     
     

 

 

 
  

Total Swap Contracts

       $               1,955,071     
  

Option Contracts

  
  9,200,000      

IRO USD 25Y P 3.75 1/17/13 RYL

     1,525     
  4,300,000      

IRO USD 30Y C 2.5 3/18/13 SWPN

     28,629     
  4,300,000      

IRO USD 30Y P3.10 03/18/13 MYC

     40,932     
     

 

 

 
  

Total Option Contracts

       $                    71,086     
  

Other Investments

  
  495,276      

AWAS AVIATION TERM 6/25/18

       $                  498,580     
  3,100,000      

BANCO DO BR NY Y$CD 0% 3/26/13

     3,100,000     
  4,100,000      

BIOMET INC TERM 7/25/17

     4,120,500     
  1,700,000      

DAIMLER FIN NOR CP 0% 10/15/13

     1,681,759     
  1,000,000      

DAVITA TERM B-2 8/21/19

     1,012,500     
  300,000      

ITAU UNIBANCO CD 0% 10/31/13

     296,386     
  3,700,000      

ITAU UNIBANCO SY$CD 0% 3/26/13

     3,687,968     
  34,100,000      

US TREASURY RP .23% 1/02/13

     34,100,000     
  54,000,000      

US TREASURY RP .25% 1/02/13

     54,000,000     
  166,667      

WARNER CHILCOTT TERM B-4 8/17

     166,320     
  33,333      

WARNER CHILCOTT TERM B-5 8/17

     33,261     
     

 

 

 
  

Total Other Investments

       $           102,697,274     
     

 

 

 
  

Total Cash, Cash Equivalents and Other Investments

       $           153,006,580     
     

 

 

 
  

Total Investments Excluding Notes Receivable From Participants

       $        4,133,640,531     
  

Notes Receivable From Participants (interest rate from 4.25% to 10.50%

maturing through January, 2028)*

     64,301,153     
     

 

 

 
  

Total Investments

       $        4,197,941,684     
     

 

 

 

* Indicates party-in-interest to the Plan.

 

 

55        


Table of Contents

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on their behalf by the undersigned hereunto duly authorized.

 

   

TIME WARNER SAVINGS PLAN

Date: June 21, 2013

 

By:

 

/s/ Daniel J. Happer

   

 

 

Name: Daniel J. Happer

 

Member of the Administrative Committee


Table of Contents

EXHIBIT INDEX

 

Exhibit
Number
 

Description

23.1  

Consent of Ernst & Young LLP,

Independent Registered Public Accounting Firm